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Senior Product Manager - Risk AnalyticsSterlingsLondon, England, United Kingdom

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Senior Product Manager - Risk Analytics

Sterlings
  • GB
    London, England, United Kingdom
  • GB
    London, England, United Kingdom

About

This range is provided by Sterlings. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.
Base pay range Direct message the job poster from Sterlings
Our client is a market leader in providing a front-to-back, cross-asset platform delivering cutting-edge trading, risk management, and operations software to investment banks, hedge funds, asset managers, and energy firms. Their innovative technology and exceptional growth trajectory have positioned them as one of the most dynamic and respected providers in the industry.
Having expanded organically over the past decade, the firm now has a global team of 100+ professionals. The business was founded by a highly regarded industry leader and former CTO, and it continues to scale while maintaining a strong culture of innovation, collaboration, and agility.
As part of their ongoing investment in product expansion, the firm is building out its London-based Product organisation and is seeking a
Senior Product Manager
to own and drive their
Risk Analytics
product suite. This includes Market, Credit, and Liquidity Risk capabilities across their enterprise platform.
Key Responsibilities
Lead the strategic roadmap for Risk Analytics, ensuring alignment with market needs, regulatory trends, and client priorities.
Collaborate closely with global clients, acting as a trusted partner to understand requirements and translate them into impactful product solutions.
Work side‑by‑side with Engineering to design and deliver high‑quality, scalable risk features and enhancements.
Support go‑to‑market initiatives, including client demos, product positioning, and competitive analysis.
Champion innovation and ensure the product risk offerings remain best‑in‑class within a complex, multi‑asset trading environment.
About You
Strong Product Management experience within capital markets, ideally with exposure to Market, Credit, or Liquidity Risk.
Understanding of risk analytics, financial products, and the technology that underpins modern trading and risk systems.
Ability to operate strategically while also executing tactically with Engineering teams.
Comfortable engaging with buy‑side and sell‑side clients, translating complex concepts into clear outcomes.
Thrive in a fast‑paced, entrepreneurial environment where creativity and ownership are encouraged.
Please note that the organisation has a 5‑day in‑office policy
Seniority level
Mid‑Senior level
Employment type
Full‑time
Job function
Product Management and Information Technology
Industries
Capital Markets, Financial Services, and Banking
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  • London, England, United Kingdom

Languages

  • English
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