Product Strategist, Equity Derivatives
2 days ago
Entity: Singapore Exchange- Location: Singapore, SG- Job Function: Equities- Job Type: Permanent (HC)- Req ID: 1317**Job Summary**:
Our Equities Unit is seeking to hire a Product Strategist/Product Manager for the Equity Derivatives business. This role is primarily responsible for delivering product strategies and analysis directly usable by product managers, sales team and management.
This role is highly visible, with involvement in all aspects of all exchange-listed equity products including revenues and costs, product strategies and developments, product presentations, and sales positioning and closing.
You will work with a senior product strategist and product managers. As a team member, you will also be part of a larger dynamic team whose objective is to successfully develop our competitive trading platform with you.
**Responsibilities**:
- Develop and participate to the implementation of product strategy in alignment with corporate goals to achieve growth in product volumes, revenues, as well as breadth and depth of ecosystem.
- Be the data analyst expert of the products suit to identify industry trends and strategize the design of new products, marketing campaigns, microstructure changes.
- Be an active participant of the end-to-end launch process for new products and services, which includes working with index partners, consulting market participants, ensuring technological readiness, designing operational workflows, and obtaining the necessary regulatory, legal and risk approvals.
- Leading or providing domain knowledge for cross-functional projects from time to time (e.g. conduct reviews of trading rules and policies, design and implement new features on the trading engine).
- Suggest enhancements for existing product features and market policies to improve product tradability.
- Develop positive relationships with the sales team, in Singapore and internationally, to engage the institutional investor ecosystem through different channels.
**Job Requirements**:
- A Bachelor's degree or equivalent professional qualification in Finance, Business, Economics.
- Minimum of 7 years of relevant working experience in the financial industry, including experience in index management, research or product development with an index provider, asset manager or investment bank.
- Reasonable knowledge of capital markets and derivatives products, as well as a deep understanding of financial services industry dynamics across major institutional segments.
- Existing professional network and industry contacts.
- Demonstrated track record in delivery and results.
- Strong problem-solving, negotiation, analytical, project management, written and verbal communication skills.
- Resourceful and adaptable; has the ability to prioritize while handling multiple projects.
- Bonus points for quantitative modelling and coding skills; and working knowledge of index strategies and corporate actions, as well as industry trends such as ESG, multi-factor, smart beta indices and digital assets
**Job Segment**:Equity, Data Analyst, Law, Risk Management, Banking, Finance, Data, Legal
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