Director, Multi-Asset Product Management

S&P Global
New York, Chicago
Workplace: OnsiteFull timeUSD 175,000 - 225,000 annuallyFunction: Executive & General ManagementExperience: 10+ yearsEducation: bachelorsSkills: ["Stakeholder management","Executive communication","Commercial mindset","Client engagement","Strategic influence"]

Lead the development, management, and commercial promotion of systematic multi-asset and equity derivatives index strategies, with a focus on options-based methodologies. Serve as a senior subject matter expert across client engagements, product pitches, and external thought leadership, while partnering with Sales, Research & Design, Index Governance, Marketing, Technology, and more to drive adoption and long-term revenue growth.

Loading

Loading job details...

Preparing the role view and application actions.

FursaFursa
S&P Global
S&P Global
1 month ago

Director, Multi-Asset Product Management

✓ Verified Job

Canonical indexed version, validated from employer's careers page.

Source: Company careers pageValidated by: Fursa AI
Last checked: 37 days agoStatus: Live

Job Summary

Lead the development, management, and commercial promotion of systematic multi-asset and equity derivatives index strategies, with a focus on options-based methodologies. Serve as a senior subject matter expert across client engagements, product pitches, and external thought leadership, while partnering with Sales, Research & Design, Index Governance, Marketing, Technology, and more to drive adoption and long-term revenue growth.
Location: New York, Chicago
Workplace: Onsite
Employment Type: Full time
Job Function: Executive & General Management
Seniority: Director level

Key Responsibilities

  • •Lead research, development, and launch of systematic multi-asset and equity derivatives indices with options-based strategies and transparent, rules-based methodologies.
  • •Serve as a senior subject matter expert in client meetings, product pitches, trainings, conferences, and external forums; support sales with clear commercial narratives.
  • •Maintain market intelligence on trends, client needs, and competition (including QIS desks, investment banks, exchanges, and ETF/insurance players) to identify opportunities.
  • •Support and manage the existing multi-asset index suite, monitoring performance and commercial traction and driving enhancements and lifecycle management.

Pay and Benefits

Salary: USD 175,000 - 225,000 annually
Perks:Health InsurancePaid LeaveLearning BudgetRetirement

Key Requirements

  • •10+ years of experience in systematic index/QIS/product strategy or derivatives-focused roles (structuring, trading, or quantitative strategy) at a financial firm.
  • •Strong quantitative background in index construction and derivatives.
  • •Hands-on experience developing options-based strategies and translating payoff/outcome objectives into systematic, investable rules.
  • •Ability to influence cross-functional stakeholders without direct people-management authority.
  • •Bachelor’s degree in a quantitative discipline; ability to discuss methodology design and communicate commercial value to clients and leaders.
Experience:10+ yearsSystematic indicesQISDerivativesETFsStructured products
Education:Bachelor's
Skills:Stakeholder managementExecutive communicationCommercial mindsetClient engagementStrategic influence
Certifications:CFACAIA
Tech Stack:PythonRMatlab

Eligibility

Work Authorization:Authorization required. Sponsorship not provided.

Company Brief

S&P Global
Provides financial information, analytics, benchmarks, and credit ratings to markets and institutions worldwide, offering data, research, indices, and risk assessment tools across the financial services and commodities sectors.
Industry: Data Infrastructure
Company Size: Enterprise (1,001+ employees)
Revenue: USD 1B+
Growth: Public Company
Valuation: Public Company (Market Cap in USD)
Funding: IPO / Publicly Listed
Headquarters: New York, United States
Founded: 1917
WebsiteLinkedIn