





Tier-1 brand, metro location, and popular product owner title increase applicant competition despite fund-accounting specialization.
Strongly finance-specific fund accounting and regulatory requirements limit cross-industry transferability.
Explicit 7–12 years, mandatory fund accounting domain expertise, and product owner experience make filters strict.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Own and maintain product backlog and delivery priorities for assigned Fund Accounting and Administration (FAA) initiatives to support platform enhancements and capability evolution.
Translate business priorities into clear product requirements, manage backlog execution, and coordinate stakeholders across global teams and multiple asset classes.
Ensure delivered product features meet client, operational, and regulatory expectations through disciplined backlog management and collaboration with Product, Operations, and Technology teams.
7-12 years’ experience in Securities Services or related financial services, specifically fund accounting and/or fund administration.
Proven experience in product owner, business analysis, or technology delivery roles supporting platform enhancements and transformation initiatives.
Strong knowledge of fund accounting standards (IFRS, US GAAP), NAV construction, and complex asset classes; working knowledge of fund administration functions.
Ability to operate in global, matrixed environments and manage multiple concurrent priorities across product backlogs.
Experienced in fund accounting and administration within global financial services firms, adept at managing multi-stakeholder delivery models and cross-jurisdictional issues.
Skilled at translating complex operational and regulatory requirements into actionable backlog items and product roadmaps.
Operates effectively in Agile frameworks as Product Owner, with strong analytical skills and professional judgment to prioritize risks, tradeoffs, and delivery sequencing.