You are passionate about analyzing and drawing conclusions from large amounts of data. If linking transactions and positions to liquidity reporting rules excites you, this role is for you.
As a Business Analyst within our Treasury Chief Investment Office team, you will have the opportunity to work on the Liquidity Risk Infrastructure (LRI) Project, a multi-year, firm-wide initiative. This role will allow you to contribute to our goal of achieving world-class liquidity risk management capability. You will be an integral member of the LRI Asset Class lead team, reporting directly to the Asset Class manager and providing support for Derivatives, Securities, Secured Financing. This role offers the chance to engage in extensive communication and validation of product updates across various lines of business.
Job responsibilities
Conduct analysis of trading book data, liquidity calculations, and classifications across a range of regulatory and internal management reports, and reviews the prescribed regulatory requirements as neededIdentify key data quality issues and drive remediation with technology teams across LRI, FRW Everest and upstream source systemsCollaborate with Liquidity Risk Policy, Oversight, Middle Office and technology teams to identify and resolve information gaps. Explore and offer innovative tactical and strategic solutions to address changes and reporting correctionsWork with LRI and Line of Business (LOB) project teams on product development and management, including business model enhancements, regulatory rule changes, product consistency and leveraging the LRI system for other firm initiativesParticipate in the creation or review of Business Requirements into Agile methodology Jira ticketsFacilitate and/or participate in user acceptance testing of the product, proactively identifying issues, defining solutions and tracking through to resolutionProduce and present scorecards to senior management around project status, issues and risksRequired qualifications, capabilities, and skills
Self-Starter with a minimum of 3 years hands-on experience in the financial industry Detailed knowledge of all or any of the products required:Derivatives,Securities and Securities FinancingMust be able to analyze and draw conclusions from large amounts of data, linking transactions and positions to liquidity reporting rulesAbility to grasp large amounts of information, and a curiosity to ask appropriate questions to fully develop business and functional requirementsCross functional and internal team player with the ability to manage competing demands in a fast paced, results driven environment with minimal oversightExcellent verbal and written communication skills and possess a strong sense of accountability and responsibilityPreferred qualifications, capabilities and skills
Advanced computer skills, particularly in Excel, Power Point, Visio, SQL, Alteryx and TableauPrior experience as a business analyst and/or in technical roles on large, complex projectsFamiliarity with Liquidity reporting such as 6G, PRA110, LCR, NSFR and ALMM