Job Description - Product Controller - Alternative Investment Firm
We are seeking a Product Controller to join a leading global alternative investment firm specializing in macro and multi-strategy trading. The ideal candidate will support a broad range of asset classes including fixed income, derivatives, and securities.
Key Responsibilities:
Produce and validate daily P&L across multi-asset portfolios.
Support P&L attribution and explain key drivers such as market moves, new trades, and carry.
Assist with independent pricing, valuation checks, and fair-value methodologies.
Resolve booking issues, trade breaks, and valuation discrepancies with traders, operations, and risk teams.
Provide real-time support to portfolio managers in a lean, dynamic environment.
Contribute to process improvements, automation, and control enhancements.
Requirements:
Bachelor's Degree in Finance, Accounting, Economics, Engineering, Mathematics, or another quantitative discipline.
At least 2 years of experience in product control, valuation control, fund accounting with P&L exposure, or similar roles in banking, investment management or fund administration.
Good understanding of financial products-cash products, derivatives, and basic OTC structures.
Strong analytical skills with a high attention to detail.
Proficiency in Excel; experience with Python/SQL is an advantage.
Ability to work independently, handle time-sensitive deliverables, and communicate clearly with senior stakeholders.
What This Role Offers:
Close exposure to front office and senior investment professionals.
Broad product exposure with opportunities to develop deeper derivatives and valuation expertise.
A performance-driven environment with strong learning, ownership, and career growth potential.
If you are interested in this opportunity, please click "Apply Now" or email Jacqueline at for a confidential discussion.
Only shortlisted candidates will be contacted. If you do not hear from us within 14 days, please consider your application unsuccessful.
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