Portfolio Finance - Associate
The Business Unit Control team is responsible for observing and analyzing P&L, risk, pricing processes and internal financing. This role will be primarily focused on the continued build out of an in-house financing system, including ownership of project management, outlining PM policy, writing business and technical specifications, and testing/validation.
Responsibilities
Financing – focus on internal and street financing models. This includes all PB financing, initial and variation margin, collateral, stock loan, swap financing and repo and understanding how this is managed both internally and externally.
Project Management – management of all aspects of the platform build, from high-level timelines to prioritization of development tasks.
PM Policy – full ownership and understanding of PM financing policy, including treatment of new products/strategies in coordination with Treasury.
Street Financing – partnership with Operations and business counterparties to replicate broker logic across global asset classes.
Implementation/Validation – coordination with development and business analysts to write and implement business specifications, including full testing and validation.
Qualifications
5+ years of experience
P&L/Treasury/Prime/Collateral background
Knowledge of equity financing, including debit financing, sec lending, margin, etc.
Knowledge of fixed income financing – collateral, repo, etc. a plus
Knowledge of Imagine, Murex, OpenLink a plus
Detail oriented; Demonstrates thoroughness and strong ownership of work
Demonstrated initiative and problem-solving skills
Experience managing/running large projects
Strong communication skills
Very strong excel skills required; SQL a plus