Product Manager - Global Products
Product
India · Gurugram, Haryana, India · Haryana, India
About Us:
Pluang is Indonesia's leading multi-asset investment platform, offering diverse products such as Crypto, US Stocks, Mutual Funds, and Gold. With a mission to redefine investing, we provide a seamless, innovative, and secure experience to empower millions of Indonesians to achieve financial independence. Backed by $110M+ in funding from global investors like Accel and Openspace Ventures, we are one of Indonesia's fastest-growing fintechs. Discover more about our vision here.
Role Overview:
We are hiring a Product Manager to own the US Stocks and derivatives business within our Global Products team. This is not a delivery-coordination role: you are accountable end-to-end for the product — its economics, its systems, its launches, and its failures. You will operate in a complex brokerage environment (liquidity providers, corporate actions, margin/leverage, multi-currency portfolios) where the cost of shallow understanding is measured in real money. Join Pluang and play a pivotal role in shaping the future of investing in Indonesia.
What You Will Do:
End-to-End Business Ownership (US Stocks & Derivatives)
Own the full lifecycle of GSS initiatives — from first-principles problem definition through PRD, build, launch, and post-launch P&L — not just the execution of a handed-down roadmap.
Be accountable for the commercial outcome: track revenue, adoption, and unit economics weekly; if a feature isn't making money, diagnosing why is your job before anyone asks.
Treat anything that impacts your product as your problem — including partner outages, compliance blockers, and downstream team dependencies.
Domain-Deep Product Delivery
Manage detailed execution of roadmap items across US Stocks, ETFs, IPOs, leverage trading, and derivative products — grounded in real understanding of order lifecycles, settlement, corporate actions, margin, FX translation, and broker economics.
Translate strategy into PRDs, user stories, and simulations you have personally stress-tested; you should be the most knowledgeable person in the room on your own workstream.
Sequence work by impact, not by arrival order: distinguish the steps that need deep thinking from the steps that are just writing, and allocate your effort accordingly.
Cross-Functional & Partner Coordination
Drive execution across engineering, design, QA, compliance, operations, and external partners (liquidity providers, market-data vendors), acting as the primary interface to third parties.
Escalate early and communicate proactively — surface risks and blockers the day you see them, with a recommended answer attached, never sitting on them.
Documentation & Decision Hygiene
Maintain rigorous written artifacts: no significant conversation, decision, or handoff without a structured document. PRDs, SOPs, and runbooks must be written to be consumed — with intent, indexing, and format.
Ask questions early and in context; validate assumptions before building on them.
Data-Driven Optimization and Experimentation
Execute structured experimentation (e.g., A/B tests), analyze user data, and use insights to iteratively improve features and conversion funnels.
Evaluate product performance through user behavior analysis and benchmarking, proactively recommending improvements.
What We're Looking For:
Qualifications:
4+ years in product management, with mandatory experience in brokerage, trading platforms, or capital-markets fintech.
Working knowledge of market mechanics is a hard requirement: order types and lifecycle, settlement, corporate actions, margin and leverage, FX exposure, and broker/LP economics. Candidates will be tested on this in interviews.
Demonstrated history of owning a product P&L or business metric — not just shipping features.
Skills & Competencies:
Judgment under load: able to rank tasks by business impact ("equity"), sequence them correctly, and defend the ranking — we screen for this explicitly with prioritization cases.
Systems thinking: can trace a feature end-to-end across frontend, backend, partner APIs, and ops workflows rather than treating pieces in isolation.
Strong written communication: structured documents, decision logs, and stakeholder updates as a default habit.
Proficient analytical capabilities to support data-driven experimentation and decision-making.
Mindset:
Owner, not executor: takes unprompted initiative to expand scope, hunts for wins, and holds themselves accountable for outcomes they weren't explicitly assigned.
Self-directed learner: closes knowledge gaps proactively using every available resource (including AI tools); asks early rather than assuming.
Comfortable being challenged on fundamentals and expecting the same rigor of others.
Preferred Experience:
Direct exposure to IPO/primary-market workflows, CFDs, options, or commodities trading.
Familiarity with regulatory compliance and operational considerations within fintech products.
Experience managing third-party broker/LP integrations (e.g., Alpaca-type partners).
Why Pluang?
Pluang Offers:
Attractive compensation package - competitive salary, flexible bonus scheme.
We are always looking for ways to promote and inspire innovation. So, come build your dream with us.
Flexible career path - management and technical career growth, enhanced by learning and development program, regular performance assessment, teams of multi-national IT professionals.
Healthy work environment - company-sponsored medical program, food, and beverage program, open communication.
Friendly policies to support Work-life balance, team building, and celebrations.
We are an equal-opportunity employer and value diversity at our company. We do not discriminate based on race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.
Want the inside scoop on our culture, the interview process, and the amazing team at Pluang? Click here to find out!
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