You will bridge business needs and technical execution within complex financial environments.
Responsibilities
Act as the liaison between business stakeholders and technical teams to gather, analyze, and document trade-processing and risk management requirements.
Conduct detailed business analysis to identify process improvements and technical solutions for FX options and derivatives trading workflows.
Assist in designing and testing enhancements to risk systems or trade processing platforms, ensuring alignment with industry and regulatory standards.
Provide insights into system performance, risk exposure, and operational efficiencies.
Prepare detailed documentation, including functional specifications, process maps, and testing plans.
Required Skills
7+ years of experience in business analysis within the financial sector, specifically in FX trading, risk, or derivatives processing.
Strong understanding of front-office risk management and trade processing in FX options or derivatives.
Expertise in business analysis methodologies, requirements gathering, process mapping, and stakeholder communication.
Familiarity with trade capture, confirmation, and risk systems used in trading environments.
Advanced proficiency in MS Office Suite (Excel, Word, PowerPoint) for reporting and analysis.
Experience working in high-pressure, dynamic trading environments with strict compliance and risk controls.
Familiarity with Agile/Scrum development processes.
Ability to use Python for data analysis or automation tasks.
Preferred Skills
Experience with automation scripting or data analysis using Python.
Familiarity with risk management platforms and market data systems.