Summary
A top investment manager is expanding a high-impact valuations team supporting a growing multi-asset arbitrage platform. This is a rare opportunity to join a lean, high-visibility group working directly with senior stakeholders across credit and equities.
Company Information:
A leading global investment firm with a diversified multi-asset platform and significant growth across credit and equity strategies.
Job Description:
- Review and validate daily, MTD, and YTD PnL prior to distribution
- Perform price verification and manage valuation exceptions
- Investigate and resolve PnL breaks across market data, trades, and valuation inputs
- Validate pricing inputs including curves, spreads, and volatility surfaces
- Escalate material issues and drive timely resolution
- Ensure adherence to valuation and PnL policies
- Enhance valuation methodologies and control frameworks
- Support new product onboarding and valuation governance
- Partner with Technology on reporting, controls, and automation improvements
- Contribute to process improvements and team initiatives
Requirements / Qualifications:
- 5+ years of experience in valuation, product control, or PnL control
- Strong understanding of multi-asset valuation concepts
- Experience with PnL production and reporting
- Advanced Excel; Python and SQL strongly preferred
- Experience with corporate and/or convertible bonds required
- Exposure to liquid credit strategies; structured products (CLOs, MBS) a plus
- Strong analytical and problem-solving skills
- Ability to work in a fast-paced environment
- Strong communication skills with ability to interact with PMs
- Bachelor’s degree in a relevant field
