
Global financial services firm
EMEA Credit Portfolio Group (XVA) Product Control – Vice President
必备技能
Excel
Make your impact at the heart of our markets franchise. As a XVA Product Control – Vice President in Finance and Business Management, you lead the product control agenda for collateral‑specific discounting in our markets business. You ensure accurate financial and regulatory outcomes, elevate the control environment, and translate complex activity into clear insights that decision makers rely on. You collaborate across trading, risk, operations, and technology to deliver timely reconciliations, metrics, and change initiatives. You develop people and processes that scale with growth and change.
In this role you will be provided with an excellent opportunity to gain an in depth understanding of XVA (CVA and FVA). The CPG desk trades a wide range of products across all asset classes such as CDS, Bond Futures, Interest Rate Swaps, FX Forwards, Cross Currency Swaps, Commodity Futures, Equity Futures and Options.
Job responsibilities
- Lead the product control function for EMEA XVA, ensuring complete and accurate financial and regulatory reporting.
- Own daily and month‑end profit and loss reconciliation from front office estimates to the general ledger and management reporting.
- Produce, analyze, and explain key business and risk metrics for the desk, including inputs used in Value at Risk.
- Validate end‑to‑end trade data integrity across systems and remediate breaks between front and back office platforms.
- Advise on accounting, regulatory, and booking treatments; participate in new product approvals; sign off legal entity financials and regulatory returns.
- Partner with Planning and Analysis to deliver timely, decision‑ready management information for business leaders.
- Build, influence, and maintain strong relationships with trading, business management, risk, operations, and technology partners.
- Prioritize effectively during fast‑moving trading and month‑end cycles while maintaining high control standards.
- Strengthen the control environment through process design, documentation, testing, and continuous improvement.
- Lead and develop a high‑performing team; coach, set priorities, and foster an inclusive, collaborative culture.
- Support technology, business, and regulatory change initiatives to ensure smooth implementation and control readiness.
Required qualifications, capabilities, and skills
- Extensive relevant experience in product control, financial control, or markets finance within a trading business
- Relevant experience leading or mentoring team members with demonstrated ability to influence senior stakeholders.
- Deep knowledge of interest rate derivatives and discounting concepts, including forwards, swaps, basis, and collateral‑driven discounting.
- Strong accounting proficiency and working knowledge of Generally Accepted Accounting Principles for the United States and United Kingdom.
- Advanced Excel skills for analysis and controls (formulas, lookups, pivots) with ability to automate using macros or willingness to learn.
- Experience reconciling profit and loss and balance sheet from front office systems to the general ledger with clear variance explanations.
- Familiarity with market risk concepts and measures, including governance of Value at Risk inputs and controls.
- Proven ability to operate under pressure and tight deadlines with exceptional attention to detail and ownership.
- Excellent written and verbal communication skills with the ability to explain complex topics clearly to non‑specialists.
- Demonstrated strength in internal controls, risk assessment, and issue remediation across the trade lifecycle.
- Bachelor’s degree or equivalent practical experience in finance, accounting, economics, engineering, or a quantitative field.
Preferred qualifications, capabilities, and skills
- Experience with differential discounting and collateral‑specific pricing and risk management in a global markets environment.
- Prior ownership of Value at Risk data inputs, backtesting controls, and related governance.
- Knowledge of legal entity reporting and regulatory returns for trading businesses.
- Experience with process re‑engineering and control automation; familiarity with Python or SQL.
- Exposure to trade lifecycle and systems architecture across risk, finance, and operations.
- Professional certification such as Certified Public Accountant (CPA), Associate Chartered Accountant (ACA), Chartered Financial Analyst (CFA), or Financial Risk Manager (FRM).
- Experience working across United States and United Kingdom accounting and tax considerations for derivatives.
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关于JPMorgan Chase

JPMorgan Chase
PublicJPMorgan Chase & Co. is an American multinational banking institution headquartered in New York City and incorporated in Delaware. It is the largest bank in the United States, and the world's largest bank by market capitalization as of 2025.
300,000+
员工数
New York City
总部位置
$500B
企业估值
评价
10条评价
3.8
10条评价
工作生活平衡
3.5
薪酬
4.0
企业文化
3.8
职业发展
3.2
管理层
2.8
68%
推荐率
优点
Good benefits and compensation
Supportive colleagues and environment
Flexible work arrangements
缺点
Long hours and heavy workload
Management issues and lack of direction
High stress and expectations
薪资范围
44个数据点
Analyst
Junior/L3
Mid/L4
Senior/L5
Analyst · Analyst, Investment Banking
6份报告
$126,500
年薪总额
基本工资
$110,000
股票
-
奖金
-
$103,500
$201,250
面试评价
4条评价
难度
3.0
/ 5
时长
14-28周
录用率
50%
体验
正面 25%
中性 75%
负面 0%
面试流程
1
Application Review
2
HR Screen
3
Hiring Manager Interview
4
In-person/Final Interview
5
Offer
常见问题
Behavioral/STAR
Past Experience
Culture Fit
Financial Knowledge
Case Study
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