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HomeCompaniesHdpc Fa Us2 Oraclecloud Com CX 3002Controllers -Salt Lake City- Vice President, Product Controllers – 9879556

Controllers -Salt Lake City- Vice President, Product Controllers – 9879556

Hdpc Fa Us2 Oraclecloud Com CX 3002 · Salt Lake City, UT, United States · Active · Oracle Recruiting Cloud / Fusion HCM

Job facts

FieldValue
CompanyHdpc Fa Us2 Oraclecloud Com CX 3002
TitleControllers -Salt Lake City- Vice President, Product Controllers – 9879556
Normalized title-
Department / teamVice President
LocationSalt Lake City, UT, United States
Work model-
Employment type-
Salary-
Statusactive
ATS providerOracle Recruiting Cloud / Fusion HCM
Posted / first seen2026-06-03 / 2026-06-04
Changed / last seen2026-06-04 / 2026-06-06

Related slices

PageWhat it containsOpen
Company jobsActive postings from Hdpc Fa Us2 Oraclecloud Com CX 3002.Open
Company breakdownsRole, location, ATS, and work model facets for this company.Open
ATS provider jobsActive postings observed through Oracle Recruiting Cloud / Fusion HCM.Open
Provider filtered searchThe same provider as a filtered job collection.Open
City jobsActive postings in Salt Lake City.Open
Department jobsActive postings in Vice President.Open
Lifecycle eventsOpen, update, close, and reopen events for this posting.Open
Original postingCanonical source or apply URL captured from the ATS.Open

Linked records

CompanyHdpc Fa Us2 Oraclecloud Com CX 3002
Source6c2fc4b4-b977-4fca-ad16-3207bde507b7
ATS providerOracle Recruiting Cloud / Fusion HCM

Description

Description Job Duties: Vice President, Product Controllers with Goldman Sachs & Co. LLC in Salt Lake City, Utah. Responsible for the review process of new trades for appropriate valuation, accounting treatment and disclosure for financial and regulatory reporting, managing the trading desk balance sheet reporting and validation process, and representing the team in new product-activity proposals, ensuring compliance with applicable policies and regulations. Oversee daily, weekly, monthly, and quarterly profit and loss analyses for the trading business and reconciliations between front and back-end systems. Perform weekly review of breaks and adjustments related to P&L reports run by team members, including breaks against the general ledger, cash breaks against SECDB and spotting any adjustments or PNL reporting that is unsubstantiated. Develop and produce ongoing price verification procedures to ensure appropriate valuation of firm inventory and review trading risk and market moves to provide P&L attribution commentaries, as well as developing procedures and streamline workflows for the team. Produce financial statements and/or relevant disclosures for the trading business. Work with the financial and regulatory reporting team in preparation of key external reports, including earnings release and 10Q / 10K disclosures. Mentor junior team members, providing guidance on technical matters, and facilitating training sessions on relevant topics such as financial instruments, valuation methodologies, and regulatory requirements. Employ technical knowledge and skills in the team’s processes for efficient and robust controls and efficiencies. Build and maintain effective relationships with internal stakeholders such as trading desks, risk management, finance, and external stakeholders including auditors and regulators, fostering collaboration and transparency. Job Requirements: Bachelor’s degree (U.S. or foreign equivalent) in Finance, Accounting, Economics or related field and five (5) years of experience in the job offered or in a related role. Prior experience must include five (5) years in the following: working with debt derivative products including developing or enhancing tools and flows to assist in reconciliation, valuation, profit and loss analysis and financial & regulatory reporting; corporate and securitized derivatives profit and loss reconciliations & reports; identifying unique and new trading activities, understanding their inputs risks/model used for pricing and ensuring proper reserves and disclosure requirements; FICC derivative risk inventory management, including identification of abnormal risks by strategy, option greeks, balance sheet usage & fluctuations and composing profit and loss commentary used for VaR (Value at risk) breaches and regulatory requests; working directly with trading on profit and loss analyses, new activity review, pricing, and valuations; working on financial disclosure requirements, including experience with FAS 157, FAS 159, and FAS 161; communicating technical concepts related to derivatives flows, reconciliation gaps and processes, profit and loss reporting, price verification impacts, and disclosure impacts across various teams, including Trading Desk, Operations, Technology and internal/external Auditors; and meeting tight deadlines, including multiple daily profit and loss reports, weekly reserve rebalance, monthly price verification, quarterly disclosures and other frequent time-sensitive ad-hoc requests from various internal/external parties. ©The Goldman Sachs Group, Inc., 2026. All rights reserved. Goldman Sachs is an equal opportunity employer and does not discriminate on the basis of race, color, religion, sex, national origin, age, veteran status, disability, or any other characteristic protected by applicable law.

Full job record

Job ID52eabaa28deb5318039b4f44eb00271e439a1977
Org IDbe11fab8-3f8a-45d7-b0b8-f801e8cc9e3b
Source ID6c2fc4b4-b977-4fca-ad16-3207bde507b7
Board ID6c2fc4b4-b977-4fca-ad16-3207bde507b7
Provideroracle_hcm
Provider Job Key175526
TitleControllers -Salt Lake City- Vice President, Product Controllers – 9879556
Normalized Title
Statusactive
Activeyes
Location TextSalt Lake City, UT, United States
DepartmentVice President
Team
Employment Type
Workplace Type
Remote Policy
CountryUnited States
RegionUT
CitySalt Lake City
Salary RawDescription Job Duties: Vice President, Product Controllers with Goldman Sachs & Co. LLC in Salt Lake City, Utah. Responsible for the review process of new trades for appropriate valuation, accounting treatment and disclosure for financial and regulatory reporting, managing the trading desk balance sheet reporting and validation process, and representing the team in new product-activity proposals, ensuring compliance with applicable policies and regulations. Oversee daily, weekly, monthly, and quarterly profit and loss analyses for the trading business and reconciliations between front and back-end systems. Perform weekly review of breaks and adjustments related to P&L reports run by team members, including breaks against the general ledger, cash breaks against SECDB and spotting any adjustments or PNL reporting that is unsubstantiated. Develop and produce ongoing price verification procedures to ensure appropriate valuation of firm inventory and review trading risk and market moves to provide P&L attribution commentaries, as well as developing procedures and streamline workflows for the team. Produce financial statements and/or relevant disclosures for the trading business. Work with the financial and regulatory reporting team in preparation of key external reports, including earnings release and 10Q / 10K disclosures. Mentor junior team members, providing guidance on technical matters, and facilitating training sessions on relevant topics such as financial instruments, valuation methodologies, and regulatory requirements. Employ technical knowledge and skills in the team’s processes for efficient and robust controls and efficiencies. Build and maintain effective relationships with internal stakeholders such as trading desks, risk management, finance, and external stakeholders including auditors and regulators, fostering collaboration and transparency. Job Requirements: Bachelor’s degree (U.S. or foreign equivalent) in Finance, Accounting, Economics or related field and five (5) years of experience in the job offered or in a related role. Prior experience must include five (5) years in the following: working with debt derivative products including developing or enhancing tools and flows to assist in reconciliation, valuation, profit and loss analysis and financial & regulatory reporting; corporate and securitized derivatives profit and loss reconciliations & reports; identifying unique and new trading activities, understanding their inputs risks/model used for pricing and ensuring proper reserves and disclosure requirements; FICC derivative risk inventory management, including identification of abnormal risks by strategy, option greeks, balance sheet usage & fluctuations and composing profit and loss commentary used for VaR (Value at risk) breaches and regulatory requests; working directly with trading on profit and loss analyses, new activity review, pricing, and valuations; working on financial disclosure requirements, including experience with FAS 157, FAS 159, and FAS 161; communicating technical concepts related to derivatives flows, reconciliation gaps and processes, profit and loss reporting, price verification impacts, and disclosure impacts across various teams, including Trading Desk, Operations, Technology and internal/external Auditors; and meeting tight deadlines, including multiple daily profit and loss reports, weekly reserve rebalance, monthly price verification, quarterly disclosures and other frequent time-sensitive ad-hoc requests from various internal/external parties. ©The Goldman Sachs Group, Inc., 2026. All rights reserved. Goldman Sachs is an equal opportunity employer and does not discriminate on the basis of race, color, religion, sex, national origin, age, veteran status, disability, or any other characteristic protected by applicable law.
Salary Min
Salary Max
Salary Currency
Salary Periodday
Source URLhttps://hdpc.fa.us2.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_3002/job/175526
Apply URLhttps://hdpc.fa.us2.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_3002/job/175526
First Seen At2026-06-04 10:46:18Z
Last Seen At2026-06-06 20:40:56Z
Last Checked At2026-06-06 20:40:56Z
Last Changed At2026-06-04 10:46:18Z
Inactive At
Source Posted At2026-06-03 14:48:13Z
Source Updated At
Raw Payload Uris3://job-postings-prod-raw-590183727216/raw/provider=oracle_hcm/board=hdpc.fa.us2.oraclecloud.com|CX_3002/date=2026-06-06/2026-06-06T20-39-27-656Z-8407786fbf547d2f1974010775020dbac3462628e2475885323cfa7a0ce0bba3.json
Event Fields
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  "active_status": "active"
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Parsed Structured
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Extensions
{}
Native Structured
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