Who are we?
As the founding entity of RAINBOW PARTNERS, Quanteam is a consulting firm specializing in the fields of Banking, Finance, and Financial Services. Guided by our core values of closeness, teamwork, diversity, and excellence, our team of 1000 expert consultants, representing 35 different nationalities, collaborates across 12 international offices: Paris, Lyon, New York, Montreal, London, Brussels, Geneva, Lisbon, Porto, Casablanca, Madrid and Singapore. Committed to sustainability (Ecovadis Silver), diversity (gender index: 94), security (ISO27001) and quality of work life, Quanteam is a forward-thinking enterprise.
Our Expertise
With a dual expertise in both business and IT, Quanteam supports its corporate clients (investment banks, asset management companies, private and retail banks, custodians, etc.) across the entire Front-to-Back spectrum in evolving their business activities and transformation projects.
Our teams are organized into 5 expertise areas:
➡ Quantitative Finance
➡ Risk, Compliance, and Regulatory
➡ Operations and Finance
➡ Transformation and Organization
➡ Information Systems
In 2025, Quanteam generated a revenue of €120 million.
We are looking for a P & L Controller
Context
The main purpose of this role is to ensure the production, validation and analysis of Economic P&L, guaranteeing consistency between reported figures, P&L explanations and risk indicators.
This position involves close interaction with the Front Office, requiring strong analytical skills and the ability to understand, challenge and improve existing processes within a Financial Markets environment.
Main Mission
To produce, validate and analyze the Economic P&L, ensuring the accuracy of related explanations (market moves, new deals, etc.), while identifying, investigating and documenting discrepancies.
Main Responsibilities
- Produce and validate official Economic P&L figures and related P&L explains
- Investigate discrepancies versus Front Office forecasts when applicable
- Perform in-depth review of P&L Explain, correcting incorrect effects when needed
- Analyze Risk-based P&L and compare against P&L Explain to ensure gaps are understood and documented
- Review the split of P&L between liquidity and interest rate effects (ALMT perimeters)
- Produce Hedge Accounting controls for Finance and Front Office where applicable
- Submit P&L figures for Front Office sign-off
- Identify opportunities to challenge and improve existing processes
- Maintain high standards of ethics, rigor and professionalism, building strong internal relationships based on trust and collaboration
Profile & Skills
- Background or experience in Financial Markets (preferred)
- Strong analytical mindset and problem-solving skills
- High attention to detail and rigor
- Client-focused mindset and ability to collaborate with multiple stakeholders
- Fluent in English
Technical Skills
- Knowledge of Financial Markets (transversal)
- P&L analysis and financial interpretation
- Strong analytical capabilities
Hybrid work model, with presence required in Lisbon office.
If you feel this opportunity is right for you, send us your CV and join our team!
Localização do trabalho: Trabalho remoto híbrido em Lisboa