





Tier-1 brand, metro location, mid-level analytics role with moderate specialization.
Specialized banking valuation and product control skills not easily transferable outside finance.
Explicit 2+ years risk and valuation control experience required in regulated banking environment.
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Participate in daily P&L and valuation control processes for trading and banking desks, including analysis, validation, attribution, and commentary on key drivers.
Review trade data, valuation inputs, and reconcile discrepancies to ensure accurate financial reporting and support independent price verification and fair value adjustments.
Develop expertise in product & valuation control policies, identify process improvements, and collaborate with Front Office, Risk, and Operations on new products and market developments.
At least 2+ years of Risk Analytics experience or equivalent demonstrated via work, training, military experience, or education.
Minimum of 2+ years Product Control or Valuation Control experience (desired qualification).
Experience with financial data reconciliation, valuation controls, and P&L analysis for trading and banking desks.
Notice period: Not explicitly mentioned in the JD.
Experienced in executing daily valuation and P&L control with intermediate complexity and moderate risk deliverables.
Able to independently analyze and resolve data reconciliation issues and valuation discrepancies within risk and control frameworks.
Collaborates effectively with Risk, Front Office, and Operations to understand complex transactions and improve control processes.