Manager, Product Control

RBCToronto, ON
Onsite

About The Position

As a Manager Product Control, you will be responsible to provide quality analytical support to the Capital Markets’ Treasury Services Product Control area by performing daily and monthly mark-to-market valuation, P&L reconciliation and generating risk / position reports on an accurate and timely basis.

Requirements

  • 2+ years of experience in a sophisticated Treasury or Capital Markets environment, supporting a trading desk
  • Excellent Microsoft Excel (with VBA), Database and SQL/Python Skills and have explored automating processes using AI
  • Strong analytical, problem-solving, interpersonal and communication skills
  • Able to work effectively and reliably under pressure
  • Advanced understanding of procedures and operational controls as they relate to trading systems and workflows

Responsibilities

  • Daily P&L production, month-end reporting and reconciliation
  • Act as the primary point person for all Front Office queries and issues and effectively monitor, track, and complete tasks in a timely fashion
  • Perform daily valuation and analyze MTM movements by measuring the impact of new deals, amendments, cancellations as well as changes in yield curves, volatilities, convexity bias, rate reset and time decay where applicable
  • Pro-actively monitor all operational, valuation and risk management issues pertaining to the trading portfolios assigned
  • Communication of Daily, MTD and YTD results to the Desk Head, compare P&L Estimate vs. Actual results –explain variances and obtain sign-off
  • Prepare all monthly accounting entries to the G/L and conduct reconciliations to ensure figures are properly tied back to the systems of record
  • Provide support to Statutory and Regulatory Reporting and Head Office as it relates to the business – filling out relevant templates and providing adequate back up
  • Identify opportunities to improve PNL, valuation and risk reports and pro-actively streamline processes to improve productivity
  • Perform daily PNL and Balance Sheet reconciliations to ensure figures are properly tied back to the systems of records

Benefits

  • bonuses
  • flexible benefits
  • competitive compensation
  • commissions
  • stock where applicable
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