The Risk Finance Change team consists of full time project managers and business analysts with responsibility for projects spanning Credit Risk, Market Risk, Product Control, Valuations, Treasury and Financial and Regulatory Reporting. The team works closely with its stakeholders and sponsors in the line and maintains a close working relationship with Technology partners, both internal and external.
Also I wanted you to look for a candidate with strong UK Liquidity reporting experience (3-5 years or upto 3yrs) where the role is based out of Mumbai. See the JD below and please aim to get candidates with strong Investment banking domain and BA experience (as a default) with specific experience on UK Liquidity reporting. It is for the same organisation that we are working towards staff deployment
Business Analyst to work across Liquidity reporting projects with global stakeholders, focusing on both local regulatory deliverables as well as the internal liquidity model. The project is very closely aligned with global Basel III regulatory deliverables, and will share some infrastructure and data
The BA will work directly with SMEs in Treasury, Product Control and the Front Office, as well as with colleagues in IT, who are dedicated to this project
The role is very hands-on and the project has a number of aggressive deadlines to meet
The project will deliver a number of different applications for Liquidity reporting, including both in-house and third-party vendor tools
Immediate deliverables will focus on requirements gathering & documentation, maintaining key project documentation (plans, action logs, RAID logs), analysis of strategic data sources, and management of the regular testing cycles
Basic to Intermediate level of SQL knowledge is essential