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Vest

SVP - Product Development, Europe

RemoteUnited Kingdom only
Published
Role
Product
Experience
Senior
Salary not disclosed
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Open to GB only. Set where you work from to check your eligibility.

No BS summary

Senior product-development leader for European derivatives-based investment products. Needs about 12+ years in equity derivatives, structured products, or investment product development, with strong UCITS and European distribution knowledge. UK remote role.

What you'll do

  • Define and own Vest's European product strategy and a prioritized three-year roadmap, grounded in investor needs, market structure, regulation, and distribution economics.
  • Decide which products to pursue, defer, or decline, and which U.S. strategies to adapt versus redesign.
  • Generate original, differentiated product ideas by studying how European investors buy and use products, including private banks, wealth managers, discretionary managers, insurers, pension investors, family offices, and institutional allocators.
  • Design strategies using listed options, OTC derivatives, swaps, structured securities, and systematic indexes.
  • Model product economics across volatility, rate, dividend, and correlation environments, and validate behavior with Vest's investment, trading, risk, and quant teams.
  • Select the appropriate vehicle for each strategy (UCITS ETF, UCITS fund, SICAV or OEIC, structured note, insurance or unit-linked product, custom index, model portfolio, or segregated mandate), weighing eligibility, tax, liquidity, transparency, distribution access, and operational complexity.
  • Apply working knowledge of the UCITS framework and partner with legal and compliance on eligible assets, global exposure, counterparty and collateral rules, diversification, leverage, and disclosure.
  • Surface regulatory issues early enough to shape design.
  • Build the European distribution understanding and relationships needed to commercialize products, in close partnership with First Trust.
  • Lead products end-to-end from concept through launch, coordinating internal teams and external service providers against firm timelines.
  • Develop clear product narratives and educational materials.
  • Present recommendations to Vest and First Trust leadership.
  • Build a scalable, well-governed product-development function over time.

What they require

  • Approximately 12+ years in equity derivatives, structured products, investment product development, or a closely related field, ideally including time at a leading global investment bank (equity-derivatives structuring, structured-products origination, or a cross-asset solutions or systematic-strategies business).
  • Strong command of options, structured payoffs, volatility, hedging, funding, dividends, and correlation, plus the practical constraints of pricing, liquidity, and execution.
  • Meaningful experience with European investment products and the UCITS market, and hands-on work across more than one vehicle type (funds, structured notes, insurance products, custom indexes, or mandates).
  • A demonstrated understanding of the European investor and distribution landscape, and a record of influencing senior internal and external stakeholders.
  • Preferred: experience launching a UCITS fund or ETF; familiarity with Luxembourg, Irish, and UK fund structures; work with management companies, depositaries, administrators, and fund boards; exposure to defined-outcome, autocallable, or systematic income strategies; and an established European structured-products network.
  • Intellectually curious and analytical, creative but grounded in commercial and operational reality, comfortable challenging conventional thinking, and exceptionally precise.
  • You recognize that small errors in derivatives-based products carry material investment, operational, regulatory, and reputational consequences.
  • You are collaborative without being consensus-dependent, confident with senior bankers and executives, and motivated by building a business rather than executing transactions.

Benefits

  • 401(k) with matching contribution
  • Competitive medical, dental, and vision coverage for you and your dependents
  • Remote-first company
  • Flexible PTO
  • Paid parental leave
  • Quarterly performance bonuses

Vest Financial™ is a rapidly growing investment management firm specializing in Target Outcome Strategies®, including Target Buffer®, Target Income, Target Growth, and Target Financing™. Vest has grown from under $500 million in 2019 to over $70 billion today, in partnership with leading asset managers.

Investment Management

Details

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Salary not disclosed