This is a remote position.
Business Analyst - Investment/Global Bank (Foreign Exchange, Trade Processing, Risk Management)
We are seeking an experienced Business Analyst with a minimum of 4-8 years of relevant experience in Investment or Global Banks, specifically in the areas of Foreign Exchange (FX), Trade Processing, and Risk Management. The ideal candidate should have a comprehensive understanding of front-to-back workflows for at least two asset classes, such as FX, Fixed Income (FI), Money Market (MM), or Derivatives. This includes dealing with deal capture, deal execution, risk management, confirmations, accounting, and settlements.
Responsibilities:
Workflow Understanding: Demonstrate a deep understanding of full front-to-back workflows for a minimum of two asset classes (FX/FI/MM/Derivatives), encompassing deal capture, deal execution, risk management, confirmations, accounting, and settlements.
SDLC and Agile Methodologies: Familiarity with Software Development Life Cycle (SDLC) and Agile development methodologies to effectively contribute to project management and software development processes.
Financial Instruments Knowledge: Possess knowledge of financial instruments like FX Options, Bonds, Rates, which will be considered a plus.
Communication Skills: Exhibit excellent written and verbal communication skills, with the ability to transform business requirements into precise functional and technical specifications.
Analysis Skills: Showcase strong analysis skills to interpret and understand complex data and business processes.
Business Analysis: Ability to create business analyses from scratch and troubleshoot data quality issues to provide accurate insights.
Collaboration: Work effectively as part of various teams and handle high-pressure situations with professionalism.
Requirements:
Minimum of 4-8 years of experience as a Business Analyst in Investment or Global Banks.
Expertise in the areas of Foreign Exchange, Trade Processing, and Risk Management.
Proficiency in front-to-back workflows for at least two asset classes (FX/FI/MM/Derivatives).
Familiarity with SDLC and Agile development methodologies.
Knowledge of financial instruments, particularly FX Options, Bonds, and Rates, is advantageous.
Excellent written and verbal communication skills.
Strong analytical abilities with the capability to transform business requirements into precise specifications.
Troubleshooting and problem-solving skills to address data quality issues.
Ability to work collaboratively in diverse teams and manage high-pressure situations effectively.
Lincoln Financial Group
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Dimensional Fund Advisors
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