
product controller - contract
- London
- Permanent
- Full-time
- Reporting of Daily, Monthly & Year to Date Trading P&L and Balance Sheet for assigned desks as well as P&L attribution and commentary
- Reconciliation between the front office systems and sub-ledger as well as firm's general ledger
- Reporting of material adjustments to the P&L, including discrepancies to the desk's flash to the team supervisor
- Ensure all balance sheet related breaks are investigated and resolved in a timely manner
- Ensure daily control checks are completed for manager review, including review of the SOX daily checklist
- Make necessary daily Post Close Entries (PCE's)
- Compiling infrastructure issues for remediation
- Month end cost plus processing and adjustments
- Daily FX exposure reporting
- Month end netting and other adjustments processing
- Assist Team Supervisor in provision of weekly and monthly commentary / analysis for Head of Department
- Build good working relationships with Revenue division and other support departments
- Compile commentary for covered desks on a monthly basis
- Oversight of Offshore production on a daily basis. Liaise with offshore team managers to ensure timely resolution of breaks and meeting of reporting deadlines
- Train and instruct any junior staff and new offshore team members
- Assist team lead in compiling monthly balance sheet substantiation pack and account sign-off
- Compile ad-hoc reporting and analysis for the desk
- Participate on transition projects, including lead of workstreams as required
- Develop new reporting processes and tools as required
- Independent Price Valuation
- FAS 157 Hierarchy
- Collateral Valuation Review
- Client Valuation Review
- Reserving & Provisioning
- Market Data Review
- Prudential Valuation Review and adhoc price stressing
- Monitoring of new trades P&L and review against market levels
- Trade population & position checks
- Market data existence & system consistency checks
- De-recognition test
- Trader Mandate reviews
- Hedge effectiveness and related accounting testing