Risk Management - Credit Market Risk Management
• Working with the Risk Operations and Risk IT on the transformation modernization of the risk reporting architecture and systems
• Analysis existing BAU reporting processes, tools and architecture
• Business logic extraction from SQL/VBA and manual processes
• Help in building of the risk data dictionary
• Analyze processes / workflows of Market/Credit Risk Officers
• Construct, develop and maintain tactical reporting tools. Helping with implementation of Qlik dashboards for risk reporting system enhancements
• User Acceptance Testing – planning and coordination
• Discuss and relay information on data analysis to market/credit risk managers
• Work with third party applications concerning reporting and risk analytics
• Troubleshoot, write complex VBA across all MS Office applications
• Process enhancements through automation of existing reports, reducing the risk of manual errors
• Degree educated: Graduate or Masters in Financial engineering/IT, Computer, Mathematics, Science or Finance
• Understanding fixed income, derivatives, market risk, credit risk and liquidity risk are advantageous
• Advanced MS Excel, Access VBA skills. Experience of using Python
• Good understanding of Oracle and SQL Server databases
• Risk systems experience, Knowledge/Experience in using Qliksense, SharePoint
• Multitasking, Time Management, Organized, strong client relationships, excellent communication
• Understanding of the full Software Development Life Cycle (SDLC)
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