Vacancy expired!
- Evaluating business processes, anticipating requirements, uncovering areas for improvement, and developing and implementing solutions
- Working knowledge of relational database technologies and SQL
- Identify, analyze, and interpret trends or patterns in complex data sets.
- Experience with data analytics and other strategies that optimize statistical efficiency and quality.
- Strong oral and written communication skills and ability to facilitate discussions.
- Excellent knowledge of Financial Products (Equities, Derivatives, Fixed Income, FX)
- General Concepts of Market Risk/Credit Risk
- Technically proficient in Microsoft Office products, MS Project, and Visio
- Strong analytical skills with the ability to collect, organize, analyze, and disseminate significant amounts of information with attention to detail and accuracy.
- Market Risk – Basel 2.5, VaR, SVAR, Capital, Liquidity Risk, Private Equity & Investment Securities, Fundamental Review of Trading Book (FRTB), Standardized Based Approach and Internal Model Approaches etc., is highly preferable.
- Credit Risk – CVA, Credit Exposure, Collateral Management
- Proven working experience as a Data Analyst or Business Data Analyst
- Experience with Business Intelligence Tools (Business Objects, Tableau, MS Power BI, QlikSense, etc.)
- OLAP, OLTP, MDX Query
- Financial Certification preferably CFA or FRM
- Bachelor's/Master's Degree in Financial Engineering, Mathematics, Information Systems, Statistics or Equivalent Experience
Vacancy expired!