Description
My client is a well known financial institution seeking a Collateral Risk Business Analyst to work on a large Collateral Optimisation project due to run for the next 18 - 24 months.
This candidate will have excellent experience of Collateral Management/Collateral Optimisation projects with a solid grasp of the Repos and Swaps market and finally a good understanding of Client Clearing projects (CCP's)
This Business Analyst will be expected to operate from front to Back Office and should be client facing in their approach. Extensive knowledge of Market Risk and Credit Risk is essential.
Experience around the migration, upgrade and implementation of systems such as Algo, Colline, Murex and Calypso is also highly desirable.
Aston Carter Ltd is acting as an Employment Business in relation to this vacancy.