Published on www.allthetopbananas.com 27 Jan 2025
Grade Level (for internal use):
13 S&P Dow Jones Indices The Role:
Director, Multi-Asset Product Management The Firm: S&P Dow Jones Indices (S&P DJI) is the world’s leading resource for benchmarks and investable indices. Our solutions are widely considered indispensable in tracking market performance, evaluating portfolios, and developing investment strategies. The Team: In developing solutions for a broad range of clients (insurance, banks, asset managers, etc.), our product suite focuses on strategies for index-linked insurance products, derivatives overlay strategies, retirement, and other multi-asset strategies. The team has ownership for setting the product strategy and driving long-term success of the product line. The team has a global mandate and is expanding in Asia due to growth in the region. The Role: The team seeks a Director to develop, support, and promote our Multi-Asset product initiatives in Asia, including the management of volatility-controlled, derivatives overlay, and other multi-asset indices. The candidate will play a critical role in helping shape and execute the Multi-Asset business strategy for Asia, including launching innovative indices, managing current products, and forming new partnerships. This is a highly technical role, but it also requires effective collaboration skills and a commercial-focused mindset to achieve the team’s strategic priorities. In addition to being a hands-on Product Manager, the candidate will need to collaborate with cross-functional teams to achieve strategic goals. Responsibilities: Manage the suite of Multi-Asset strategies in the Asian market, managing cross-functionally to support its success. Help identify new product opportunities to help drive commercial success. Work closely with clients in the product development processes. Lead the product development process; collaborate with the broader PM team and relevant internal stakeholders (R&D, Marketing, IT, Governance, etc.). Support development and execution of the Multi-Asset business line strategy. Act as a key subject matter expert with in-depth knowledge of index methodology and processes; possess an intimate understanding of internal processes, including product launch lifecycle. Contribute to product innovation and enhancements. Draft presentation decks, marketing materials, and other communications to promote multi-asset strategies. What we’re looking for: 10+ years of experience working at a structuring desk, index provider, portfolio management, or related field. Extensive industry knowledge about asset allocation, insurance products, and/or derivatives. Deep understanding of investment trends and competitive landscape of Asian markets, with commercial acumen. Undergraduate degree or equivalent in mathematics, finance, or a related field. Strong analytical and quantitative skills, as well as attention to detail. Strong communication skills, both written and verbal, and public speaking experience. Demonstrated ability to work independently and as part of a team. Entrepreneurial mindset in a fast-paced and fluid environment. Preferred Skills and Experience: Master’s degree in related field CFA or progress towards CFA Knowledge of analytical platforms such as FactSet, Capital IQ, Bloomberg, MSCI / Barra, or Axioma Programming skills (Python, R, Matlab) Equal Opportunity Employer S&P Global is an equal opportunity employer and all qualified candidates will receive consideration for employment without regard to race/ethnicity, color, religion, sex, sexual orientation, gender identity, national origin, age, disability, marital status, military veteran status, unemployment status, or any other status protected by law.
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