Senior Product Manager – Financial Services

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Logo of Prometheum

Prometheum

51 - 200 employees

Founded 2017

💳 Fintech

₿ Crypto

Fintech • Crypto • Securities

Prometheum is a pioneering company in the field of digital asset securities, having received first-of-its-kind approval to clear and settle these types of assets. Through its subsidiaries, Prometheum ATS and Prometheum Capital LLC, the company combines blockchain technology with a traditional securities marketplace to facilitate trading, settlement, clearing, and custody of digital asset securities. Prometheum is committed to providing transparent and secure market access for both individual and institutional investors, marking a significant evolution in capital markets.

📋 Description

• Own product areas end-to-end - across trading operations, settlement/clearing, and treasury & cash management - from discovery and requirements through launch, working closely with engineering and design in a fast-moving, startup environment. • 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. • Create and maintain product documentation, user guides, and release notes for platform updates and operational flows. • Track product metrics and use data to assess feature adoption, surface insights, and inform next priorities.

🎯 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). • Awareness of regulated financial environments and compliance requirements (FINRA, SEC) is a plus, but a willingness to learn in a highly regulated space matters more than years in traditional finance. • 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.

🏖️ Benefits

• Health, Vision & Dental Insurance. • Fully remote position with equipment provided. • Stock Options.

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