Technical Business Analyst (Banking) - Hybrid

Job Details

  • ID#49542730
  • Address 02109 , Boston,

    Massachusetts

    Boston USA
  • Job type

    Contract

  • Salary USD Depends on Experience Depends on Experience
  • Hiring Company

    ITTConnect

  • Showed25th March 2023
  • Date23rd March 20232023-03-23T00:00:00-0700
  • Deadline22nd May 2023
  • Category

    Et cetera

Technical Business Analyst (Banking) - Hybrid

Vacancy expired!

ITTConnect is seeking a

Senior Technical Business Analyst with experience in the Financial Services / Banking industry to join our team

. Our client is a major IT Consulting firm with HQ in Europe, offices in 15 countries and over 10k employees, they are experts in tailored Applications Services to Banks, Insurance and Industry clients.

Job Location: Boston, MA. Position is hybrid, few days in the office, few days remote.

Responsibilities:
  • Will be managing a few projects simultaneously: requirements gathering from business and operations as well as conducting the full cycle from a BA perspective
  • Advise on and create proprietary investment processes that are tailored to individual clients using Code Red’s highly configurable software and workflow tools
  • Import data from and coordinate with prominent third party vendors including custodial banks, accounting systems, trade order management systems, and market data providers
  • Write custom reports to aggregate research and import data into company tear sheets, productivity reports, and investment dashboards tailored to individual clients’ investment styles
  • Manage and support partnerships with existing clients by solving problems, performing upgrades, training users, and providing exemplary customer service

Specific Responsibilities:
  • Requirement Gathering from Operations and Business.
  • Deployment Post Validation to evaluate the Product maturity.
  • Design the solution and get a sign-off from Business, Operations and Technology.
  • Implement the Technology and if needed consult Allvue.
  • Post Development ,provide the implementation support or hand-over to Global Support Team.
  • Perform Production Support, find answer to the Operational Questions. Product Optimization by tuning the Application and DB.
  • Coordinate with the external and internal stakeholders to gather the integration requirements .
  • Drive, design and implement with solutions with Sign-off from Operations.
  • Understand the new regulatory and Business need to come up with innovative solutions with little strain to operations.
  • Modernize the System and Architecture with the available resources.
  • Integration with home grown and external Apps and services.

Operations Support:
  • Manage the Projects for the Program - Bank Loan Product Management-Everest
  • Manage the Production Support plan– Start of Day Issues
  • Support the Product Integration with In-house Applications and Products
  • Manage the Custodian Data – Create, maintain, and upgrade the Custodian data Interface and support the daily Feeds
  • Trade Management -OMS - Create, maintain, and monitor the Trade Messaging and Transmission across multiple systems ( SSB and MSIM)
  • Data Quality Management - Daily Custodian Feed Monitoring and Data Quality Check
  • Reporting Management - Create and maintain the Compliance and Business Reporting (exceptions , regulatory ,audit etc)
  • Managed the Product Research Management System – Factset RMS for ESG and Equity Team

Product Development and Enhancement:
  • Manage the Product level Support
  • Manage the Product Upgrade
  • Manage the Product customization at different levels to support the Business and Technical Need.
  • Manage the Trade level Compliance, Restrictions and Portfolios on-boarding with the Business along with the Business
  • Manage the end-to-end Product Level development starting from Development to the User Interface

Integration Management:
  • Manage the Internal Integration: Client developed internal frameworks (Sherpa) and other Products (CRD, Factset, SalesPage etc) to supplement the Bank Loans Trading and Credit Research
  • Maintain and enhance the Credit Workflow, various custom Trading Workflow and Policy in the form of Compliance
  • Create and maintain Reporting and Exceptions – Internal and External
  • Reporting Management for the reconciliation pre and post integration

Product Upgrade:
  • Understand and plan to manage the new features
  • Perform the Gap Analysis and present to the Business to evaluate the solution options
  • Provide insights to the Planning and resources required for the upgrade
  • Perform the Impact Analysis and share the associated Risk with the management
  • Maintain the Upgrade documentation
  • Stakeholders Management
  • Manage the User Acceptance Testing up to Sign-Off – Portfolio Managers, Researchers and Management

Requirements:
  • 8+ years of IT experience in Financial Market
  • Experience with fixed income, research management or other front office applications
  • MUST HAVE advanced knowledge of MS SQL / Transact SQL and XML
  • Experience working on a trade floor environment along with Traders and Portfolio Managers, performing adhoc complex SQL/XML queries to solve complex trades
  • Experience with all phases of the SDLC
  • Demonstrated ability to work well with different business users and stakeholders groups gathering business requirements and writing functional specification documents
  • BS in Computer Science, Computer Engineering or similar

Vacancy expired!