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Market Risk and Reporting Analyst

New York, NY 10001

Employment Type: Contract Industry: Banking/Finance Job Number: 2888

Job Description

We are hiring for a Market Risk and Reporting Analyst consulting role related to the transition away from LIBOR.

You report to the head of Risk Management at a smaller financial institution, working to design and deliver data related to the transition away from LIBOR enhancing the trade capture and risk reporting process.

In summary, you will:
  • Design and enhance IT and data analysis process relating to LIBOR transition within the bank across various departments, including corporate banking, treasury, risk and other departments.
  • Work within the LIBOR Transition Working Group to help manage the project, and prepare materials for distribution to key stakeholders relating to LIBOR transition readiness
  • Coordinate with the Treasury Back Office Department to adapt new settlement conventions.
  • Work with business departments to collect, assess, and formulate requirements for business and IT departments
  • Validate data and valuation processes for risk purposes
Requirement include:
  • 5+ years of experience in banking with market risk and trade life cycle
  • Strong knowledge of interest rate and related products
  • Experience working in corporate bank, managing data and/or change management process
  • Proficiency in Excel/VBA, SQL/Access and PowerPoint
  • Strong time management and communication skills
  • Ability to work independently and within group setting in a high stress environment
  • B.S. and/or graduate degree with finance, business or quantitative course of study.

Job Requirements

market risk,interest rate,excel,vba,sql,reporting
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