Valuation/Product Control exit ops and development path

Hi All,

Currently I am First Year analyst in Valuation control & Analytics team within Product Control Department in one of the BB banks in Eastern Europe.

Our team is working closely with Trading Desks and Market Risk. Generally we are responsible for Fair Value calculations in Transactions, Positions, Rates.

The job is mostly manual with a lot of Excel and VBA, however sometimes there are interesting ad-hoc cases or monthly tasks, where as example I am calculating Portfolio Value on exotic countries where information is extremely limited.

Experienced Bankers, where I can proceed after 2-3 years in this team?

Thanks for answers with arguments in advance

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