FILLEd (ref # DM4157) Credit Risk, BA & PM Roles
Investment Bank, Credit Risk,
BA & PM Roles.
Interim, 3- 6 months,
London Based,
Immediate start
Role Summary
Our client is a consultancy company working for an Investment Banking client. They have 3 roles for credit risk BA's and Project Managers.
Details
Credit Risk - FX - BA 1
· Possess a track record in business change working on a variety of relevant
projects with successful delivery of; stakeholder management, strong governance controls and disciplined budget management
· A strong command of project management techniques - including the application
of industry-standard methodologies. Financial Services experience together with experience of an operations environment is essential
· Strong experience of performing business analysis in complex environments
and working on and integrating multiple project workstreams
· Project and change experience within Credit and the Trade Life Cycle, with
a proven track record of successful delivery is required. A background in wealth management is desirable
· Core Functional Experience
o Credit Functional Experience within all or some of the following functions is
required: Credit Processes: Origination, Sanction, Post Sanction Fulfilment, Monitoring and Control, Account Management.
o Experience within margining and collateral management essential. Knowledge
of how to margin different types of derivative and collateral required
o FX Trade Life Cycle experience required: Order Capture; Order Execution; Trade
Fulfilment, Trade Settlement.
· An understanding of Credit Risk Portfolio Management, Credit Risk Policy
and Appetite is desirable
Credit Risk BA 1
· Possess a track record in business change working on a variety of relevant
projects with successful delivery of; stakeholder management, strong governance controls and disciplined budget management
· A strong command of business analysis techniques - including the application
of industry-standard methodologies. Financial Services experience together with experience of an operations environment is essential
· Strong experience of performing business analysis in complex environments
and working on and integrating multiple project workstreams
· Change experience within Credit and the Trade Life Cycle, with a proven
track record of successful delivery is required. A background in wealth management is desirable
· Core Functional Experience
o Credit Functional Experience within all or some of the following functions is
required: Credit Processes: Origination, Sanction, Post Sanction Fulfilment, Monitoring and Control, Account Management.
o Experience within margining and collateral management essential. Knowledge
of how to margin different types of derivative and collateral required
o Trade Life Cycle experience preferable: Order Capture; Order Execution; Trade
Fulfilment, Trade Settlement. Key knowledge of FX and Cash Equities asset classes
· An understanding of Credit Risk Portfolio Management, Credit Risk Policy
and Appetite is desirable
Credit Risk PM
· Possess a track record in business change working on a variety of relevant
projects with successful delivery of; stakeholder management, strong governance controls and disciplined budget management
· A strong command of project management techniques - including the application
of industry-standard methodologies. Financial Services experience together with experience of an operations environment is essential
· Project and change experience within Credit, with a proven track record
of successful delivery is required. A background in wealth management is desirable
· Credit Functional Experience within all or some of the following functions
is highly desirable : Credit Processes: Origination, Sanction, Post Sanction Fulfilment, Monitoring and Control, Account Management, Restructuring and Recovery
· An understanding of Credit Risk Portfolio Management, Credit Risk Policy
and Appetite is required
o Understanding and experience of data elements required for Credit Risk Portfolio
Management. Key data elements include: Limits; Exposures; Collateral [Market Traded]; Static and Dynamic data elements associated with Market Traded Collateral; Client data
o Deep experience of data analysis, data integration, data derivation, data transformation
and data mapping including ETL, Data Warehousing, Data Query tools
o Deep experience in MI project inception, definition and delivery
o Understanding of different MI / Data warehousing approaches
o Experience in working with end users to define and develop end user reports
Managerial experience
· Possess a track record in business change working on a variety of relevant
projects with successful delivery of; stakeholder management, strong governance controls and disciplined budget management
· A strong command of project management techniques - including the application
of industry-standard methodologies. Financial Services experience together with experience of an operations environment is essential
KEY skills/requirements:
* Experience in PM or BA roles within Investment Banking or Asset Management environment
* Experience in the Credit Function
Interested?
If this role is of interest to you, please use the 'Contact Us' button above to send David Meggitt a recent CV, stating:
* The role you are applying for and your target daily rate for the role
* your availability
* your specific relevant experience, as outlined in [Key Skills and Requirements] above