Saatchi & Saatchi

Product Manager

Saatchi & Saatchi$121K — $128K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in finance, systems engineering, data analytics, economics, or a related field.
  • 3 years of progressive experience in investment analytics or related fields.
  • Skilled in financial dataset management with exposure to platforms like Aladdin and Bloomberg.
  • Proficient in documenting technical requirements and API integrations for financial software solutions.
  • Experienced in SQL for data analysis and dashboard creation with Tableau or Power BI.
  • Adept with Agile project management tools like JIRA and Confluence.
  • Knowledgeable in financial analytics methodologies such as VaR and stress testing.

Responsibilities

  • Design and manage enterprise analytics solutions for investment portfolio evaluation.
  • Integrate various financial platforms to ensure accurate data flow and reporting.
  • Collaborate with investment teams to convert financial concepts into tangible product requirements.
  • Create data pipeline systems using API integrations for seamless data movement.
  • Validate investment data and develop dashboards to ensure accuracy before reaching stakeholders.
  • Manage the product backlog and sprint planning using project management tools.
  • Investigate and rectify issues in live production systems affecting data consistency.

Benefits

  • Hybrid telecommuting available based on company discretion.
  • Work from Chicago, IL and other client sites nationally.
  • Opportunity to engage with diverse financial technologies.
  • Collaborative environment with engineering teams and financial analysts.
Full Job Description
Overview

Employer: Sapient Corporation

Job Title: Product Manager

Job Requisition: 6630.7427.16

Job Location: Will work from Chicago, IL and various unanticipated client sites and Sapient offices nationally, Telecommuting available on a hybrid basis at company discretion

Job Type: Full Time

Rate of Pay: $121,957.50 per Year to $128,055.38 per Year

Duties: Design and maintain enterprise analytics solutions that track investment portfolio performance, risk exposure, and returns for asset management clients, ensuring the underlying data is validated and reconciled across sources; Integrate enterprise investment management platforms such as Aladdin, Charles River, State Street Alpha, and Bloomberg to ensure that trade records, pricing data, benchmarks, and portfolio holdings flow accurately across systems; Collaborate with investment and risk teams to translate complex financial concepts - such as measuring portfolio risk, valuing fixed income instruments, or modeling stress scenarios - into detailed product and system requirements for engineering teams; Design data pipeline systems that move trade and market data across investment platforms using API-based integrations via tools such as Postman, and cloud infrastructure; Query investment databases using SQL and develop dashboards in tools such as Tableau or Power BI to verify that portfolio valuations, risk figures, and performance results are accurate before they reach fund managers or compliance teams; Use project tracking tools such as JIRA to manage the product backlog, plan delivery sprints, and monitor engineering progress; document platform requirements and technical decisions in Confluence or similar tools for team reference; Investigate and resolve issues in live production systems where financial data is incorrect, missing, or inconsistent across sources, restoring data integrity for investment and operations teams that depend on the platform; Maintain and version-control product configuration files, technical specifications, and pipeline code using Git-based systems such as GitHub or Bitbucket in collaboration with engineering teams; Apply financial analytics methodologies including portfolio risk analysis, performance attribution, fixed income analytics, and valuation techniques such as VaR and stress testing to define and validate investment platform requirements and outputs; and Evaluate emerging technologies in cloud computing, data engineering, and machine learning, and recommend solutions that can automate financial reporting workflows or improve the speed and accuracy of analytics delivery.

Employer will accept a bachelor's degree in finance, systems engineering, data analytics, economics or related followed by three years of progressive, post-baccalaureate experience in the job offered or three years of progressive, post-baccalaureate experience in any occupation in which the required experience was gained

#LI-DNI

Responsibilities

Qualifications

Position requires:
  1. Experience applying investment analytics concepts including portfolio performance measurement, risk exposure metrics, valuation analytics, financial data reconciliation, and analysis of multi-asset portfolio datasets.
  2. Experience working with financial datasets and platforms including Aladdin, Charles River, State Street Alpha, Bloomberg, or similar enterprise investment systems, and trade, pricing, benchmark, and portfolio position data.
  3. Gathering and documenting functional and technical requirements for complex portfolio risk measurement, enterprise financial analytics or investment management software solutions.
  4. Designing, integrating, and testing REST APIs using tools such as Postman or Swagger to support API-driven data integration across financial platforms.
  5. Analyzing datasets using SQL and developing dashboards with Tableau, Power BI, or similar visualization tools.
  6. Using JIRA or similar Agile tools for backlog management, sprint planning, and project tracking. Using Confluence or similar platforms to develop product documentation and technical specifications.
  7. Investigating and resolving production issues including data inconsistencies, market data discrepancies, and analytics calculation errors in financial analytics platforms.
  8. Using Git-based version control systems such as GitHub, Bitbucket, or similar tools for collaborative development.
  9. Experience applying financial analytics methodologies including portfolio risk analysis, performance attribution, fixed income analytics, derivatives valuation, Value-at-Risk (VaR), stress testing, and valuation analytics.
  10. Evaluating emerging technologies including cloud computing, data engineering frameworks, and machine learning tools to improve analytics automation and reporting workflows.

Additional information

Will work from Chicago, IL and various unanticipated client sites and Sapient offices nationally, Telecommuting available on a hybrid basis at company discretion
6630.7427.16

About Saatchi & Saatchi

Saatchi & Saatchi is a global advertising agency headquartered in New York City. The company was founded in London in 1970 by brothers Maurice and Charles Saatchi and is now part of the Publicis Groupe, a French multinational advertising and public relations company. Saatchi & Saatchi has over 6,000 employees in 114 countries and provides a range of advertising and marketing services to clients in various industries, including automotive, consumer goods, financial services, and telecommunications. The company is known for its creative and innovative advertising campaigns, including the iconic 'Nothing is Impossible' campaign for Toyota. Saatchi & Saatchi has won numerous awards for its work, including Cannes Lions, Clios, and Effies.
Learn more about Saatchi & Saatchi
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