An award-winning Fintech specialising in derivative risk analytics and margin optimisation is looking for a new addition to the product management team. The client is an established firm with a start-up mentality and looks to hire smart and driven candidates with a solid understanding of derivative products.
The Role
This role is ideal for someone who has a deep understanding of margining and collateral within the derivatives space. The role will require a commercial individual who can use their expertise to guide the development of new tools and enhance existing modules to provide exceptional continued service to clients.
Responsibilities include:
- Drive end-to-end delivery of features within margin and collateral.
- Acting as a conduit between clients and the business. You will develop an understanding of a client's needs and carry out market research and competitor analysis to define and build out user requirements
- Partner closely with a developer, leveraging AI agents to build a product in hours rather than weeks
- Represent the company at industry conferences, events and forums
The Candidate:
- 5+ years of experience working with OTC, Listed, Cleared & Uncleared derivatives
- Demonstrated experience working with Margin Models & Collateral
- Familiarity with the Post-Trade software solutions landscape
- Ability to liaise with different teams including developers, operations, and sales
- Confident, well-spoken communicator with strong writing ability
- Product development experience would be advantageous
This is a fantastic opportunity for someone working within a bank or asset manager, wanting to transition to a more commercial role within a growing and innovative fintech firm. You will have the opportunity to be the face of the company at industry events, building your own personal brand and name in the market.