Own and maintain the product backlog for batch processing, including sprint prioritization and engineering ceremonies
Partner with the Product Manager to define feature priorities across multiple quarters based on customer impact, regulatory requirements, and technical dependencies
Partner with Sales, Customer Success, and implementation teams to identify gaps and deliver best-in-class batch processing solutions
Write comprehensive Product Requirements Documents (PRDs) with detailed functional specifications, processing workflows, error handling scenarios, edge cases, and acceptance criteria
Define batch job sequencing, scheduling logic, and reconciliation workflows with precision appropriate for financial transaction processing
Conduct technical review sessions with engineering teams prior to development to validate requirements and surface implementation risks
Partner with Security and Compliance teams to ensure batch processes meet regulatory and data integrity standards
Partner with other Equity Product Owners and Product Managers to ensure batch processing integrates seamlessly with adjacent modules
Collaborate with Professional Services on customer implementations, establishing best practices for efficient batch configuration and execution
Work with Product Marketing on feature positioning and release communications
Coordinate with Compliance and Legal teams to address regulatory considerations affecting batch event processing
Lead discovery sessions with customers and internal stakeholders to understand operational pain points and batch processing requirements
Conduct demos and training sessions for customers and internal teams on batch processing capabilities
Requirements
1+ years in product management or product owner roles, preferably in B2B SaaS environments
Proven track record of delivering complex SaaS features or platform capabilities from concept to launch
Strong attention to detail, organization, and prioritization skills
Exceptional communication and collaboration abilities with a demonstrated aptitude for building consensus among diverse stakeholders
Solid understanding of equity compensation events, including option exercises, RSU and PSU releases, ESPP purchase cycles, and related participant transactions
Familiarity with batch processing concepts, job scheduling, and high-volume data processing in financial services or SaaS platforms
Understanding of reconciliation workflows and data integrity requirements for equity transaction processing
Experience working with Agile/Scrum methodologies and product management frameworks
Bachelor's degree in Business, Finance, Computer Science, or a related field required