Business Analyst Risk
Business Analyst will be responsible for synthesizing market requirements and working with the development team to deliver industry leading solutions. The B.A. will also work closely with the operations team who run the service making sure their needs are part of the resulting solution. Finally, the B.A. will interact with clients gathering requirements, providing documentation to detail these including workflows etc. assisting pre-sales team and providing implementation team with guidance on new features to ensure projects are on a successful path.
The B.A. is a pivotal role at Charles River helping drive product strategy, design, and development to meet market demand. The B.A. will develop client relationships that will help drive the detailed requirements for this new offering. Working with the product development team, the B.A. will define and prioritize the requirements and validate the resulting work.
Responsibilities :
- Working in a dynamic, fast-paced (agile) environment, apply expertise in specific product areas to deliver a high quality product
- Streamline data quality management across asset classes within front office and middle office workflows
- Act as a trusted expert who understands how data integrates across applications
- Gather requirements for the products Research, document and prioritize product requirements
- Interact with clients : presenting new features, gathering feedback.
- Partner with development to implement and refine features
- Assist QA with feature validation
- Partner with the documentation team to ensure accurate and complete product documentation
- Provide client beta testing support
- Assist implementation and support to resolve escalated client issues
- Work with the product manager in understanding the market needs
- Prioritize and maintain the product backlog and items committed to forward roadmap by PM
Skills, Experience & Qualifications Required :
Familiarity with financial risk models and Risk Vendors (MSCI, Axioma)Solid understanding of risk measures (Ex-Ante Risk, Ex-Post Risk).Experience working with large data setsAdvanced degree in mathematical finance or businessMinimum of 3 years of experience in a similar role within Investment Management or Equivalent DegreeGood understanding of financial investment products across asset classes including derivativesUnderstanding of investment management workflows highly desirablePrior industry experience with portfolio risk and analytics, either with risk vendor or an asset management firmExcellent communication skills (verbal and written), good interpersonal skills, ability to gather and understand requirements in the financial sectorStrong analytical and problem-solving skillsDemonstrated planning and scheduling skillsAbility to work on multiple initiatives simultaneously and deal with the inevitable surprises that are part of a dynamic environmentSalary Range : $80,000 - $132,500 Annual
The range quoted above applies to the role in the primary location specified. If the candidate would ultimately work outside of the primary location above, the applicable range could differ.