Job Description
Summary
A 12-month contract opportunity within the Product Control team, focused on daily P&L and balance sheet reporting for trading activities. The role partners with Trading, Risk, and Finance to provide financial insight, analyse key drivers, and improve reporting through automation.
Key Responsibilities
- Produce daily P&L and balance sheet reporting for trading portfolios, including commentary on performance, market movements, and risk drivers
- Perform front-to-back reconciliations, investigate breaks, and ensure timely resolution in collaboration with Operations
- Partner with Trading, Risk, Treasury, and Finance on trade analysis, new initiatives, and ad hoc queries
- Conduct independent price verification, reserves analysis, and balance sheet substantiation
- Drive automation and process improvements using large datasets to enhance reporting accuracy and efficiency
- Support month-end close and contribute to internal and external financial reporting deliverables
- Build a strong understanding of trading products, derivatives, crypto infrastructure, and the end-to-end trade lifecycle
Requirements
- Experience in Product Control within a trading environment
- ACA/ACCA qualified (or equivalent)
- Strong exposure to derivatives/options
- Analytical mindset with strong attention to detail and problem-solving ability
- Proficiency in Python, SQL, or VBA is advantageous
- Strong communication skills and ability to work cross-functionally
- Interest in crypto markets is a plus
Skills
- Cryptocurrency
- Development
- Python
- SQL

