Platform Manager (Valuation Control)

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.

To apply, email CV to careers@arrowpointfund.com

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