Platform Manager (Valuation Control)
About Arrowpoint
Arrowpoint is an Asia-focused multi-strategy hedge fund firm headquartered in Singapore, founded by former Millennium Management Asia co-CEO Jonathan Xiong. The fund launched in July 2024 with $1 billion—making it one of the largest hedge fund launches in Asia’s history. Backed by prominent investors including Blackstone, the Canada Pension Plan Investment Board, and Temasek Holdings, we operate with portfolio managers across Singapore and Hong Kong, integrating diverse strategies such as Equities, Fixed Income, and Commodities. As we continue to grow, we are seeking driven individuals to join our team and contribute to our mission.
Read about us here:
Bloomberg | Hedge Fund Arrowpoint Grows to $1.1 Billion After November Gain
Bloomberg | Hedge Fund Arrowpoint Lures CPPIB, Temasek Unit as Anchors
About this role
Platform Team | Singapore or Hong Kong
Arrowpoint is seeking an experienced professional to join the firm’s Platform team as a Valuations and Product Controller.
Arrowpoint Investment Partners is a multi-manager platform fund dedicated to deploying a diverse array of investment strategies. These include equity long-short, commodities, fixed income and macro, relative value, event-driven arbitrage, share class arbitrage, statistical arbitrage, and dispersion trading.
Key Responsibilities
Review and oversee daily P&L reports for Portfolio Managers, senior management, and other internal stakeholders, ensuring accuracy and completeness.
Act as the primary point of contact for stakeholders in the investigation and resolution of valuation and P&L issues. Validate and substantiate P&L figures, identifying and resolving discrepancies promptly.
Validate valuation sources and models used for pricing across various asset classes, ensuring consistency with market standards.
Perform intra-month and monthly valuation reconciliations between the hedge fund, Fund Administrator, and Counterparties/Independent Sources.
Assist in the design, build, and automation of valuation, P&L, and fair value adjustment processes, driving efficiency and control enhancements.
Conduct regular reviews of valuation adjustments, model reserves, and other control metrics to ensure accurate financial reporting.
Collaborate closely with Technology and Risk teams to support the ongoing enhancement of valuation methodologies and tools to adapt to evolving market conditions.
Requirements
A minimum of 8 years of experience in a Valuation Control, Product Control, or related role within a hedge fund, investment bank, or related financial institutions.
Strong understanding of financial product mathematics and fundamentals across FICC, Equities, and Commodity asset classes and derivatives.
In-depth knowledge of FX (forward, NDF, vanilla and exotic options), Rates (IRS/OIS, CCS, NDS, swaptions), Equities (index, single stock, futures, CFD), and Credit (CDS, CDS Option, TRS, bonds) is essential.
Proficiency in MS Excel, Bloomberg (OVML, SWPM, MARS), VBA, and/or Python, with the ability to automate and streamline processes preferred.
Strong analytical skills, with a structured approach to problem-solving and a control-focused mindset.
Self-motivated with a strong sense of ownership and the ability to thrive in a high-intensity environment.
Excellent interpersonal and communication skills, capable of effectively interacting with stakeholders at all levels.
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