Vacancy expired!
- 10+ years of Business Analysis at a buy-side Fixed Income firm supporting front office end-users (Credit Research, Portfolio Managers, Investment Risk, & Quantitative Strategies)
- Experience in various Fixed Income instruments is required (e.g. U.S. Treasuries, Investment Grade, High Yield, EMD, Mortgages, Sovereign Debt / Government Bonds, Corporate Bonds, OTCD, and Repos)
- Experience in Fixed Income credit research practices and ESG is a plus
- Working knowledge of data governance and the ability to ensure high data quality is maintained throughout the data lifecycle of a project
- The ideal candidate will demonstrate an ability to structure SQL queries, understand stored procedures, have experience with Business Intelligence Reporting tools, and understand relational database models.
- Innate ability to assess current process and suggest change-driven solutions to enhance business outcomes
- Strong analytical and problem-solving skills, with the ability to conduct root cause analysis on the system, process, or production problems and the ability to provide viable solutions
- Ability to optimize end-user proficiency with new systems, programs, and applications across departments
- Ability to prioritize multiple tasks and projects and work effectively under pressure; exceptional organizational and administrative skills; at ease with an abundance of details, yet mindful of the big picture at all time
- Experience with Application Lifecycle Management (ALM) tools (Jira, Confluence)
- Bachelor’s degree in Finance, Statistics, Economics, Computer Science, or a related field.
- CFA Certification
Vacancy expired!