Collateral Risk BA, Banking, £500-600

City of London  ‐ Onsite
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Keywords

Description

Collateral and Risk Business Analyst,London, Banking, £ per day

A key London-based banking client is looking for a Business Analyst with excellent experience in collateral, traded products and credit/market risk to join a new Risk Infrastructure team immediately on a 6-month rolling contract paying £ per day.

You will have the following essential skills/experience:

A strong hybrid BA/PM with a solid background in banking - as a lead, you will be defining all requirements, spec writing, in charge of RAID logs etc

Excellent collateral experience: Optimisation, CFAs, how collateral impacts credit risk etc

Excellent traded product lifecycle: derivatives, repos, SFTs (counterparty credit risk)

Experience of Front office environment would be ideal

Either a collateral specialist, or a good mix of credit/market risk and collateral, combined with strong product knowledge would suit this role

This is an exciting opportunity to secure a long-term position with a top banking client. If you match the above criteria please apply ASAP as there are interview opportunities immediately.

KeyWords: Securities, Financing, Transaction, SFT, Collateral, Risk, Credit, market, BA, Business Analyst, Project Manager, PM, Banking, Bank, London, RAID, Spec, Requirements, Derivatives, Repos, CFAs, Traded, Counterparty, Front, Office, Optimisation

To find out more about Orgtel please visit www.orgtel.com
Start date
02/2013
Duration
6 months roll
From
Orgtel
Published at
13.02.2013
Project ID:
488488
Contract type
Freelance
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