Location
London
Hours
Full Time
Salary
Competitive salary package
About the Role
Step into a pivotal role within the XVA Product Control team in London, where your expertise will drive financial excellence and strategic innovation. This is your opportunity to shape the future of product control by managing P&L and risk with precision while collaborating with senior stakeholders across the finance organization. As an associate within the EMEA Credit Portfolio Group, you will be responsible for managing CVA (credit valuation adjustment) and FVA (funding valuation adjustment) responsibilities. You will work with a wide range of products including CVA/FVA and various hedging instruments such as Credit, Rates, Equity, Commodity, and FX. This role is ideal for someone with extensive Product Control knowledge and expertise. You will be responsible for both P&L and Risk, interacting with stakeholders from Front Office, Market Risk Coverage, and other key business and control functions. The position offers significant exposure to senior stakeholders across the finance organization, providing a platform for growth and impact.
Job Responsibilities
- Report the Daily P&L and Risk ensuring completion in an efficient and controlled manner
- Provide detailed analysis and commentary on financials to desk heads, business managers, and senior finance management
- Partner with the business and stakeholders to implement robust controls and strategic initiatives
- Identify and implement continuous improvements to ensure processes adapt to changing systems and control requirements
Experience
- Strong experience in Product Control or equivalent
- Experience within Product Control related to CVA/FVA
About you
- Excellent analytical skills and attention to detail with a strong control focus
- Excellent communication skills and ability to develop strong working relationships
Qualifications
- Educated to at least Bachelor's degree (or equivalent) level
JPMorganChase










