Business Analyst / Project Managers - Market Risk & Credit Risk - Change Management

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Finance

Published on February 27, 2014

Author: BenGoodfellow

Source: slideshare.net

Description

Hybrid BA/PM - Market & Credit Risk - Risk Change Programmes

HYBRID BA/PM - MARKET & CREDIT RISK RISK & REGULATORY CHANGE PROGRAMMES c£600-750/day Summary; Change programme within global investment bank for credit and market risk Hybrid BA/PM professionals required to lead dedicated work-streams in risk and regulatory change. OPPORTUNITY

About the Client My client is an international investment bank, operating through offices in the UK, Asia and the US. During the last few years the firm has engaged with its Global and prudential regulators to ensure compliance with numerous key initiatives, largely to accommodate the need to upgrade market and credit risk models in line with increasing regulatory demands. A number of global change programmes have been initiated in the Risk Division, in particular Basel Committee on Banking Supervision initiated programmes to satisfy CAD2/Basel 2.5, IMM, Basel 3 and CRDiV, as well as upcoming regulations covering Risk data aggregation under BCBS 239; Fundamental Review of the Trading Book, Enhancements to the Securitisation Framework and the strategic build out of a new credit risk management platform. These significant programmes of business and technology Change are managed and co-ordinated Globally by the Risk Programmes Group. This group considers both Market and Credit Risk initiatives providing both project management and business analysis skills to work alongside the business “BaU” teams, increasingly looking to leverage both definition and delivery by considering X-risk efficiencies of both business process, operation and IT systems design. About the role My client requires a number of hybrid Business Analyst/Project Management professionals to work within the Risk Programmes Group primarily focused on the build out of an “effective” risk management systems as per new regulations under various regulatory initiatives (IMM/CADII/CRDIV/FDSF/BCBS etc). The project in the inception now phase will provide the risk departments the toolsets and processes required to effectively manage risk in line with new regulatory guidelines and market trends. ROLE PROFILE

Candidates interested in this opportunity will be able to demonstrate all or most of the following; • • • • • • • • • • • Credit or Market risk subject matter expertise required. Strong analytical skills, backed up with a degree (or equivalent) in analytics discipline. Good practical knowledge of financial products and risk methodology across all asset classes, especially in respect of their Risk management treatments. Ability to operate in both agile and waterfall style project methodologies and have an understanding of deliverables required for each. Good practical knowledge of Basel 3, CRDIV requirements and risk concepts as they relate to exposure & regulatory capital reporting and to wider Risk management practices and procedures. Excellent and demonstrable understanding of “best practise” approaches to functional testing, especially User Acceptance Testing. Demonstrable ability and confidence to build relationships across both business and IT, at all levels. Demonstrable track record of good stakeholder management. Excellent communication skills - both verbal and written. Delivery focused but with good team member orientation. Proven track record as a business analyst / lead analyst for a risk management / trading risk function with experience of the full analysis life cycle especially around project initiation, requirements specification through to testing planning, management and execution. EXPERIENCE

Contact: Ben Goodfellow Email: ben.goodfellow@jcwresourcing.com Phone: +44203 589 9281 INTERESTED?

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