Description
We are an agency specializing in the Finance Market, more precisely, in Asset Management. Our expertise of 10 years and more covers Business Analysis, IT, Project Management and Organization. Our ability to intervene is complete and covers the processes and Information Systems in the following domains: Front Office, Middle Office, Calculation and attribution of Performance, Risk Management, Cash Management and Reporting, Security and Third party referential data, Back Office. It also covers the majority of financial products (OPCVM, shares, bonds, derivatives).
We are currently looking for a:
SOPHIS/RISK Business Analyst
Context:
The commodity activity currently concerns listed and OTC activities (derivatives), on different underlying (oil, gas, precious metals, base metals, structured, CO2).
The BA team work on different projects around Sophis technology in version 6.2 which is the core position keeping system for the group. Projects will concern mostly risk but can cover FO, Risk and product control.
Job description:
The role will require management of different projects and business analysis linked to the commodity group.
Implementation of risk scenario within Sophis
Review and optimisation of current scenarios. Identifying all the different steps for the process.
Manage performance optimisation with the development team.
Insuring technical & functional document are dine between the BA team and the development team
Follow up issues
Review existing process and identify weaknesses and technical improvement to be done
The role will require management of different projects and business analysis linked to the commodity group.
Implementation of risk scenario within Sophis
Review and optimisation of current scenarios. Identifying all the different steps for the process.
Manage performance optimisation with the development team.
Insuring technical & functional document are dine between the BA team and the development team
Follow up issues
Review existing process and identify weaknesses and technical improvement to be done
Role can cover also other projects for Front Office and Market Risks
This role required :
Strong Sophis experience (P&L, Greeks, booking )
Market Risk management knowledge
Strong project management experience
Capacity to analyse existing setup and to identify improvments
Previous experience with Sophis API will be a plus
Understanding of FO risk management
Strong Derivatives products experience
Ability to communicate with Traders, quants, developers and sponsors
Experience of commodity derivatives will be a plus
Experience on Cube/pivot table will be a plus
There will be occasional business trips to Paris.