Product Controller - P&L Analysis (Global Hedge Fund)

Mondrian Alpha

New York (NY)

On-site

USD 100,000 - 150,000

Full time

14 days+
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Job summary

Mondrian Alpha seeks a candidate for a pivotal role in investment processes based in New York. You will collaborate with portfolio managers and traders to deliver precise P&L and valuations, reimagining the valuation infrastructure to enhance efficiency. A proactive mindset and deep product knowledge in fixed income and derivatives are crucial. This role offers direct influence on pricing risk and capital management, providing a dynamic and rewarding career trajectory within a global investment powerhouse.

Qualifications

  • Experience in a sell-side product control team or trading desk environment.
  • Ability to blend technical expertise with commercial awareness.
  • Good understanding of markets and investment processes.

Responsibilities

  • Partner closely with portfolio managers and traders to deliver accurate P&L for diverse products.
  • Reimagine and rebuild the firm's valuation and P&L infrastructure.
  • Drive smarter processes, automation, and efficiency across the business.

Skills

Deep product knowledge – strong exposure to complex fixed income and derivatives
Pricing & data expertise – confident with multiple market data sources
Influence & credibility – able to build trust with PMs and traders
Proactive mindset – spotting opportunities for improvement

Tools

Excel
Coding
Analytics

Job description

Our client is a global investment powerhouse with a reputation for turning bold ideas into exceptional returns. They combine the strength and stability of significant permanent capital with the pace, creativity, and entrepreneurial energy of a boutique.

This is a place where smart, driven people are trusted to think differently, challenge convention, and innovate. There are no silos — you’ll work side by side with senior decision-makers, contribute directly to firm-wide initiatives, and see the tangible results of your work in real time.

Curiosity is encouraged, ideas are acted on quickly, and high performers are recognized fast.

If you’re looking for something broader and more dynamic than traditional product control, this is your opportunity.

The Role

You’ll join a high-impact team that sits at the center of the investment process — partnering closely with portfolio managers and traders to deliver accurate, timely P&L and valuations, while solving problems as markets move. The scope covers a complex and diverse product set across fixed income, equities, and OTC derivatives — no two days will look the same.

But this isn’t just BAU. You’ll play a leading role in reimagining and rebuilding the firm’s valuation and P&L infrastructure — driving smarter processes, automation, and efficiency gains across the business. With a flat structure and genuine autonomy, you’ll have the freedom to take ideas from concept to execution, directly influencing how the firm prices risk, values positions, and manages capital.

About You

You’ll likely come from a sell-side product control team, a trading desk environment, or a buy-side middle office — but what sets you apart is your ability to blend technical expertise with commercial awareness.

  • Deep product knowledge — strong exposure to complex fixed income and derivatives
  • Pricing & data expertise — confident working with multiple market data sources and reference frameworks
  • Influence & credibility — able to build trust with PMs, traders, and tech teams, and drive projects forward
  • Proactive mindset — spotting opportunities for improvement and making them happen

Technical skills (Excel, coding, analytics) and relevant qualifications are an advantage, but what will really make you stand out is adaptability, intellectual curiosity, and a bias for action.

This is your chance to step into a front-row seat in the investment process — where your work directly impacts performance, your ideas get traction, and your career trajectory can accelerate fast.

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