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IT Business Analyst in Market Risk & Credit Risk
Eingestellt von Silverlink Technologies
Projektbeschreibung
ROLE: IT BUSINESS ANALYST IN MARKET RISK & CREDIT RISK
LOCATION: ZURICH, SWITZERLAND
DURATION: 4 MONTHS +
Requirements
The ideal candidate has the following qualifications and experience:
- Knowledge of Market Risk processes within a multinational financial services organisation, and understanding of the regulatory drivers for Market Risk
- Should have prior experience as a Business Analyst in Market Risk & Credit Risk areas.
- Good understanding of Banking products and process as well as Finance Management certificate will be a plus
- Expertise in reference data (sourced from external systems like Bloomberg,MarkIT,etc) and usage across Market Risk and Credit Risk reporting.
- Understanding of Credit Instrument Rating (Bloomberg,etc) reference data and linkage to Market Risk,Credit Riskhigh attention to detail, ability to handle a significant number of dependencies and issues without dropping balls
- Be a self-starter, show initiative and a strong sense of ownership.
- Excellent communication and interpersonal skills, ability to adapt to different audiences and working styles/backgrounds in a global and diverse team. This role is part of a global team with people located across Europe/US/APAC.
- Flexibility and ability to define and implement pragmatic solutions under pressure where required
- Fluent in English
Additional assets:
- Further plus is real world experience in working on large and complex projects in (Investment) Banking spanning regions.
- Project Management certification/experience are a plus
LOCATION: ZURICH, SWITZERLAND
DURATION: 4 MONTHS +
Requirements
The ideal candidate has the following qualifications and experience:
- Knowledge of Market Risk processes within a multinational financial services organisation, and understanding of the regulatory drivers for Market Risk
- Should have prior experience as a Business Analyst in Market Risk & Credit Risk areas.
- Good understanding of Banking products and process as well as Finance Management certificate will be a plus
- Expertise in reference data (sourced from external systems like Bloomberg,MarkIT,etc) and usage across Market Risk and Credit Risk reporting.
- Understanding of Credit Instrument Rating (Bloomberg,etc) reference data and linkage to Market Risk,Credit Riskhigh attention to detail, ability to handle a significant number of dependencies and issues without dropping balls
- Be a self-starter, show initiative and a strong sense of ownership.
- Excellent communication and interpersonal skills, ability to adapt to different audiences and working styles/backgrounds in a global and diverse team. This role is part of a global team with people located across Europe/US/APAC.
- Flexibility and ability to define and implement pragmatic solutions under pressure where required
- Fluent in English
Additional assets:
- Further plus is real world experience in working on large and complex projects in (Investment) Banking spanning regions.
- Project Management certification/experience are a plus
Projektdetails
Geforderte Qualifikationen
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Kategorie:
Sonstiges