Demo

Market Risk BA

Saxon Global
Jersey, NJ Full Time
POSTED ON 3/19/2025
AVAILABLE BEFORE 4/13/2025

Must Haves :

  • MUST have heavy market risk knowledge (trade products, OTC, traded derivatives, etc)
  • hands on leading projects from discovery phase to implementation
  • Has to have heavy risk experience, specifically MARKET RISK . The project is all tied to MARKET risk.
  • Working directly with the market risk managers on the business side...helping them review / draft BRDs
  • Has to have a strong understanding of " VaR calculations "
  • Heavy documentation experience
  • Working heavily within JIRA and MS Projects
  • 50 / 50 split between tech and business focus

Role Objectives :

  • Expertise in Traded products, OTC and Exchange Traded Derivatives.
  • Expertise in Risk Analytics (Market Risk, Credit Risk, Counterparty Credit Risk) and Reporting.
  • Coordinate a portfolio of projects and activities, providing transparency of progress against the strategic roadmap.
  • Lead projects from initial discovery phase through to final implementation, ensuring responsibilities are clear and milestones are being met according to plan.
  • Support of program and business strategies and objectives : resource and demand planning, change and resource management processes.
  • Coordination and management of key senior meetings to present updates, emerging risks and manage action items.
  • Working directly with our Business Users on their requirements and eliciting it for the Tech team.
  • Working closely with other Shared Services Functions within Technology such as the QA and Development teams.
  • Ability to master complex tasks with minimal supervision and communicate ideas effectively.
  • Strong analytical and problem-solving skills, with ability to conduct root cause analysis and provide viable solutions.
  • Ability to analyze business process and make recommendations for improvements and translate business needs into IT requirements.
  • Create documentation for various ongoing projects and business processes.
  • Strong ability to conduct gap analysis and provide current state vs future state analysis.
  • Qualifications and Skills :

  • Self-starter with strong ability to multi-task and solve business problems.
  • 7 years of professional experience at large banks with a focus on Risk Technology.
  • 7 years of professional experience with a focus in portfolio, program and / or change management.
  • Working experience with Market risk regulations
  • Highly developed sense of accountability and follow-through with an ability to effectively prioritize multiple tasks, projects and goals.
  • Ability to understand complex and highly technical concepts, and ability to easily explain / translate them to peers.
  • Knowledge of project management frameworks including Waterfall and Agile and tools such as JIRA and MS Project.
  • Ability to prioritize work by setting and meeting realistic deadlines, forecasting and communicating changes resulting from risks and issues, while ensuring a high level of fiscal control and accountability for project budget and resources.
  • Strong relationship management, collaboration and influencing skills
  • Ability to successfully engage in multiple initiatives simultaneously while interacting professionally with executives, managers, and subject matter experts
  • Knowledge of financial operations and planning, controls management, MIS, data management and reporting processes related to commercial investment banks
  • Excellent verbal and written communication skills
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