NO SPONSORSHIP
Chicago - 3 days on site 2 days remote
Principal, Product Manager - Financial Risk Management and Systems on the Platform
Must have heavy automation, risk platform, and managing teams of twenty people plus on a matrix basis. This is managing the IT Platform
Would come out of industry, meaning another exchange, asset management, hedge fund, bank, etc. Must understand The product line and be able to strategize the infrastructure that supports financial risk management Derivatives, capital markets, etc.
Looking for a candidate with experience as a product manager/owner agile product manager experience financial services general security markets derivatives knowledge multiple asset classes. like equities interest rates volatility commodities foreign currencies risk pillar specify control counter party clearing statements of derivatives financial risk management and regulated capital markets infrastructure Jira confluence tableau MS applications 10 years of financial risk management
Previous experience as a Product Manager/Owner in a hybrid agile methodology is required
Strong understanding of Agile product management methodologies
Excellent communication, collaboration, and presentation skills
Experience working in the financial services industry
General securities markets, derivatives knowledge required
Strong knowledge in multiple asset classes like equities, interest rates, volatility, commodities, and foreign currencies (Risk Pillar Specific)
Experience with central counter-party clearing, settlement of derivatives, financial risk management and regulated capital markets infrastructure
Willingness to roll up your sleeves and do whatever is necessary
Technical Skills:
Proficiency using Jira, Confluence, Tableau and Microsoft Office applications
Education and/or Experience:
Bachelor’s degree
MBA, MS or equivalent graduate degree in a relevant field preferred
10+ years of financial risk management experience leading teams and building robust business processes is required
2+ years of product management experience, preferably with Risk Management products and capabilities
Demonstrated experience with ensuring effective process change management
10+ years of experience in financial services/ regulated capital markets infrastructure. Experience with an exchange, regulator or clearing house preferred