Senior Manager, Credit Product Control
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Protocol Intelligence
Data-driven signals on your job's competitivenessTier-1 bank and Bangalore metro increase applicant density, but specialized product-control senior role limits competition.
Specialized global markets product-control, hedge accounting and IAS expertise strongly ties to banking domain.
Explicit professional qualifications and an 8-10 year requirement indicate rigorous candidate filtering.
Job Description
Structured overview of role & requirementsAbout This Role
Supervise and ensure timely production of daily P&L reports for Europe region across various financial products including Money Market Loans & Deposits, Rates, FX, Government Bonds, Fixed Deposits, and Commodities.
Monitor and enforce controls/processes around daily P&L and Balance Sheet, including month-end reconciliations and balance sheet substantiation for product control owned traded balances.
Liaise with multiple stakeholders (Middle Office, IT, Operations, Audit, Finance) to resolve issues; deliver hedge accounting and control enhancement initiatives; provide advice on deal structures and booking models aligned with International Accounting Standards (IAS).
Minimum Requirements
Work Experience: 6-10 years in relevant finance or product control roles.
Qualifications: CA, MBA, CFA, FRM, ACCA or equivalent postgraduate finance qualification.
Location: Bangalore-based role requiring office working.
Ability to work under pressure and meet tight deadlines.
Ideal Candidate Profile
Experienced in product control or finance functions within global markets involving complex asset classes and hedge accounting.
Strong stakeholder management skills with experience coordinating across finance, middle office, IT, and audit teams.
Skilled in interpreting IAS, P&L trend analysis, balance sheet substantiation, and control enhancement initiatives in a global financial institution environment.
