Business Analyst- Market Risk - London, United Kingdom - eFinancialCareers

Tom O´Connor

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Tom O´Connor

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Description

We are currently looking for a dynamic individuals to join our Risk Practice as Business Analysts; allocated to a multi-disciplinary squads delivering a range of diverse projects.


As a Business Analyst, you will work with various business partners (Front Office Traders, Market Risk Managers, Business Supervision Officers, Finance and Trade Control) on business analysis, project management, and front to back support, from Trade Captureto Product Risk valuation support.

Collaborating with Global Technology teams to develop detailed business & data requirements required for solution delivery.


The role:


  • You will support the delivery of Technical projects and initiatives on time and within budget by understanding the business need and responding with the necessary business, systems and data requirements analysis.
  • Do detailed Analysis, elicitation, presentation, validation of requirements to business and technology stakeholders to ensure all stakeholders have a common understanding of the requirements and the goals/objectives of what needs to be delivered to thebusiness.
  • Explore Python code, understand the logic, standardise and work with the technical teams to develop the code for market risk reports.
  • Building highperformance, lowlatency pricing analytics of the Fixed Income products
  • Work with technology partners regionally and globally to deliver high quality products in a fastpaced environment
  • Develop robust systems with an eye towards performance, supportability and maintainability
  • Have collaborative attitude when interacting with other developers, support, and frontoffice

Key Skills and Experience:


  • Strong analysis and requirements gathering skills, both business and systems focused with the ability to understand relations between data sets, prepare sample data, define and review financial calculations and prepare data mappings.
  • Stakeholder management in projects involving multiple functions and parties, preferably in a global setting.
  • Have in depth understanding on valuation of financial products. Knowledge of Fixed Income Credit and Interest Rates Products preferred.
  • Very good knowledge in trade lifecycle.
  • Indepth working experience with Agile and Scrum, with solid, proven experience of performing business analysis activities in a large scalable Agile environment.
  • Experience in a similar capacity in risk management (in particular topics such as SA-CCR, IM/VM, SIMM, FRTB OR IMA) or capital markets domain (advantageous but not required*)

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