SevingSkill | Hiring | Business Analyst – Capital Risk/Market Risk Domain – BFS | Mumbai, Gurgaon/Gurugram, Bangalore/Bengaluru | BigDataKB.com | 2022-09-28

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Job Location: Mumbai, Gurgaon/Gurugram, Bangalore/Bengaluru

ROLES AND RESPONSIBILITIES :

– Ensuring E2E delivery – requirement gathering, test execution plan, defining scope, identifying risks, dependencies and aligning stakeholder expectations throughout the lifecycle of the project

– Engage in Finance architecture roll out projects and define As-Is and To-Be mapping

– Involve in extensive analysis of the Client data and drive insights for the system implementation

REQUIREMENTS FOR CAPITAL RISK :

– 2-10 years of experience as a Business analyst in Investment Banking/Capital Markets domain

– Good working knowledge on Equities, Fixed income, Prime Brokerage, Repo, OTC Derivatives

– Good exposure over New, Amendment, Cancellation, Novation Step In and Step Out & Trade Unwind

– Good experience in documentation of project artefacts like BRDs, FSDs and defining UAT phases

– Proficient in Alteryx, Power BI and SQL

– Exposure to Project Management principles and deliverables in Agile and Waterfall methodology

– Excellent communication and stakeholder management skills

REQUIREMENTS FOR CAPITAL MARKETS :

– 2-10 years of experience as business analyst in Market Risk domain (Interest Rate Risk, Equity price, risk, Exchange rate risk, Commodity price risk, VaR, Stress testing)

– Good understanding of Capital markets and should a have an exposure over asset classes like Equity, Debt and Derivatives

– Knowledge of FRTB, Basel Standards is essential

– Good experience in documentation of project artefacts like BRDs, FSDs

– Hands on experience on JIRA and confluence for Project management

– Python programming and basic to intermediate level of SQL knowledge is essential

– Excellent communication and stakeholder management skills

QUALIFICATIONS :

– MBA or Master’s / Doctorate Degree in fields such as Mathematics, Statistics, Econometrics, Finance or Operations Research

– People with CFA/ FRM degrees will be preferred.

– Knowledge of risk management functions across different lines of business in banking industry.

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