Senior Product Manager (Financial Services)
New
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PrometheumFintech / Financial Services
Fully remote, USAFull-TimeSenior
Salary$150,000 - $180,000
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Job Details
- Experience
- 7+ years of experience in product management or business analysis
- Required Skills
- AgileProduct ManagementSCRUMJiraConfluence
Requirements
- 7+ years of experience in product management or business analysis, ideally at a fintech company, startup, or high-growth technology platform.
- Hands-on experience with post-trade, settlement, clearing, or treasury/cash-management products at a broker-dealer, exchange, custodian, or fintech platform.
- Strong understanding of the trade lifecycle and money movement — trade settlement, clearing, reconciliation, cash allocations, and end-of-day reporting.
- Comfort working with financial ledgers and account structures (chart of accounts, debit/credit logic, reconciliations).
- Comfortable with Agile/Scrum methodologies and product tooling (Jira, Confluence, product analytics platforms).
- Strong written and verbal communication skills; you can work effectively with both engineers and business stakeholders.
- Proven ability to write user stories, process flows, and product documentation that a cross-functional team can execute against.
- Ability to translate complex financial or regulatory requirements into clear, shippable product specs.
Responsibilities
- Own product areas end-to-end - across trading operations, settlement/clearing, and treasury & cash management - from discovery and requirements through launch.
- Define and specify settlement, clearing, and reconciliation workflows, including end-of-day cash and position reporting, back-office, and reconciliation between internal ledgers and books-and-records systems.
- Own treasury and cash-management features: bank and internal account provisioning, cash balances and positions, journal entries, and cash allocations across firm and client accounts.
- Onboard and integrate trading venues and counterparties (exchanges, liquidity providers, clearing banks), including deposit/settlement account setup and correspondent clearing flows.
- Partner with stakeholders, engineers, and designers to write clear Business Requirements (BRDs) and Product Requirements (PRDs) that translate business goals into actionable specs.
- Serve as the product point of contact for operations, treasury, on post-trade, settlement, and cash-operations questions.
- Define product features and roadmap priorities, balancing short-term delivery with long-term platform scalability.
- Maintain fluency in financial data structures (chart of accounts, account mappings, debit/credit posting logic) and validate changes across QA, UAT, and production.
- Maintain clean, traceable documentation of features, user stories, and tasks in Jira and Confluence.
- Coordinate with internal teams and external partners (broker-dealers, financial institutions) to communicate requirements, manage timelines, and support testing.
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