BA Market Credit Risk IB Job in Sydney 2000, New South Wales Australia
About the Job
- Major Bank
- CBD Location
- Excellent Daily Rate
My well respected banking client requires the experience of a Senior BA with Risk subject matter expertise, to be part of a team designing the Risk reporting model and credit lifecycle to support the business and client base across a multi-branch framework. You will posess in-depth Credit and Market Risk analytics/reporting experience in Financial Markets / Investment Banking as well as experience with hierarchical limit management processes/systems. You will be highly experienced in the day-to-day operations of an investment bank risk function including (but not limited to) credit risk attribution, credit risk reporting, limits management, end-to-end credit lifecycle, market risk attribution, market risk reporting. You will need to have a sound working knowledge of vanilla and derivative instruments, on and off balance sheet assets/liabilities and collateral management concepts.
Essential Experience:
- Five - Eight years+ experience in business analysis and solution design
- Eight years + experience in large projects in the financial markets industry
- Eight years + experience in risk reporting / credit-lifecycle projects including changes to work-flows/ processes in an investment banking context
- Proven experience in business facilitation, requirement gathering and documentation methods
- Practical and highly experienced knowledge of the financial markets including its regulations and business process mechanisms.
- Sound knowledge of project and software development lifecycles.
- Demonstrated strong analytical, conceptual, problem solving and commitment to quality standards.
This Senior BA opportunity comes with an excellent daily rate to reflect your expertise in the subject matter. Please submit your CV quoting job ref 1047113 or call Chris Coppeller on 9249 8076.