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Financial Risk Infrastructure Business Solutions_Business Analyst - Emerging Lead

Employer
State Street Corporation
Location
Hyderabad, India
Salary
Competitive
Closing date
Dec 24, 2020

View more

Job Function
Risk Management
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
Risk Management BA

DESCRIPTION

Across the globe, institutional investors rely on State Street to help them manage risk, respond to challenges, and drive performance and profitability. The risk management solution lead would be supporting multiple high priority, risk driven cross-organizational global initiatives to meet various functional requirements. The risk management solution lead will work with numerous functions within State Street to help drive activities to produce and update documentation of internal processes, data controls, periodic testing and validation of controls.

ESSENTIAL DUTIES & RESPONSIBILITIES

  • Experience as a business/data Analyst in a risk/finance data-centric project environment in financial institution;
  • Develop subject matter expertise on functional domain: risk and regulatory processes
  • Drafting business requirement and work in agile environment for solution development
  • Familiarity to translate requirements into Test Scenarios Test Cases and Test Scripts
  • Partner with ERM to develop risk excellent approaches for process management
  • Understanding of business intelligence or canned reporting framework for finance risk and regulatory processes.
  • Strong PL/SQL skills, comfortable with large volumes of data understands data transformation.
  • Product/solutioning implementation experience in Agile/SDLC framework.

QUALIFICATIONS:

  • 5-8 years' experience as a business/data Analyst in a Risk data-centric project environment;
  • Minimum bachelor's degree in finance/engineering/ science. CFA/FRM is a plus
  • Understanding of risk and regulatory business functions
  • Experience dealing with Enterprise credit risk data and processes around limit management, counterparty management, PD, LGD etc.
  • Experience dealing with various capital market products such as forwards, futures, options, fixed income products (various Bonds, IRS, cap/floor) is a plus.
  • Meticulous attention to detail placing high value on accuracy; diligent about upholding control points and procedures in operational process development
  • Willing to take ownership and initiative be accountable and proactive and work independently in a fast-paced environment
  • Excellent verbal written communication and presentation skills
  • Understanding of pricing and risk calculation of capital market instruments would be a plus
  • Experience in Regulatory reporting preferred

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