Job ref no.: CT3128817-01#4360

CIB F&BM - Asia Equities Product Controller for Volatility Trading - Analyst

JPMorgan Chase Bank, N.A.

Business Background
Equities is split into Cash, Equity Derivatives (EDG) and Prime Financing.

EDG provides structuring and trading services on equity-based derivatives products to a broad range of clients. EDG is the primary risk manager of derivative transactions in the Equities division and trades both linear and non-linear products. EDG consists of Exotics, Flow, Corporate Derivatives, Financing and Convertible Bonds desks, Cash Equities executes trades and markets research ideas to corporate, institutional and hedge fund clients, and offers worldwide execution capabilities across all exchanges and electronic networks. Trades are executed as Agency, Risk Free Principal and Principal, offering both High Touch and Low Touch solutions. The Prime business offers flexible financing to clients in either physical form or through synthetic products and with its ability to borrow and lend securities (stock loan) also allows clients to create short exposure. A further role of the Prime business is to provide the wider Equities and Prime businesses with both short term and long term secured funding.

The desks focus on all Asia markets, but can from time to time encompass global markets.
Team and Candidate
We are seeking to hire an Analyst level Product Controller, responsible for covering Asia Equity Volatility Trading business.

The key responsibilities of the team are

  • Production and reporting of the daily P&L and Risks
  • Understand, produce and explain daily P&L into constituent risk components; investigating any issues as needed
  • Review with Trading Business Front Office to obtain sign-off and for any ad hoc requests and queries. First point of contact for the Trading Business for all Finance related queries
  • Able to analyze and answer ad hoc queries on P&L and Balance Sheet
  • Additional liaison with the other finance teams of financial control and external reporting, middle office / operations, valuation control, technology development groups and point of contact for all downstream issues.
  • Manage projects and initiatives related to all of the above as well as larger cross-business initiatives
  • Be an active part of the team, coming up with ideas and suggestions for improvements etc.

Essential Skills

  • Bachelor's degree; finance, accounting, statistics, or economics is a plus
  • Minimum 1 years of relevant experience
  • Strong accounting & regulatory knowledge of financial instruments, including options, warrants, equity-linked notes, swaps, stocks, exchange traded funds and futures, etc
  • Derivatives or Securities experience including clear understanding of Greeks analysis. Equity derivatives experience preferable
  • Previous P&L or risk or operations within a derivatives or fixed income securities environment preferable
  • Strong interpersonal/communication skills - ability to relay information in a concise and understanding manner
  • Professional attitude, strong team player and personable / approachable manner. Comfortable working with all levels of the organization
  • Strong attention to detail
  • Strong analytical, problem solving, and process re-engineering skills
  • Proven track record of delivering high quality results within tight deadlines; ability to manage multiple priorities
  • Excellent verbal and written communication skills, experience with creating documentation
  • Energetic self-starter who takes ownership
  • Strong technical skills in using Excel, VBA knowledge would be a plus
  • Interest and ability to work in a fast-paced and dynamic environment

Advantageous:

  • Accounting / Control experience- a professional accounting qualification, e.g. CPA, ACA, CIMA
  • CFA charter holder

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More job information
Job ref no. CT3128817-01#4360
Salary
Job Function
Industry
Employment Term
  • Full-time
Experience
  • 1 year
Career Level
  • Middle management level
Education
  • Degree