Business Analyst with Capital Markets - Toronto, ON - Canada

Overview

On Site
$DOE
Full Time
Part Time
Accepts corp to corp applications
Contract - W2
Contract - Independent
Contract - term contract

Skills

BA
Capital Markets

Job Details

Job Title: Business Analyst with Capital Markets

Location: Toronto, ON - Canada

Responsibilities:

  • Responsible for generating requirements from the front office and Risk management that will include complex business and financial solutions. Frequent interaction with developers, project managers, front office, quants, and functions.
  • Participate in design and analysis, including understanding deliveries encompassing pricing, risk, and trade flow.
  • Understand and document current and future state architecture and functional processes across the Equity derivatives business technology framework.
  • Major contributor in the design and analysis of the trading platform, including understanding deliveries encompassing pricing, risk, and trade flow.
  • Working closely with FO, Quant, MR, various support teams and other IT teams on a daily basis
  • Carry out analysis of regression & QA results and formally document the analysis/provide commentary to business users
  • Work closely with QA and DEV team for root cause analysis for system upgrade GUI/batch test issues and breaks

Must have:

  • 8+ Years of Business analyst experience, including data analysis experience, such as assessing the data, performing data mining & mapping, defining data lineage & transformation rules.
  • Detailed financial knowledge within areas previously supported, in Equity products both cash and derivatives (Options, Futures, Swaps, Exotics, etc.), ideally with experience in other asset classes as well (Fixed income, commodities, multi-asset), including pricing, risk and P&L.
  • A good understanding of P&L analysis, attribution, risks, Greeks, and VaR
  • Comfortable with SQL
  • Excellent communication skills both written and verbal

Nice-to-have:

  • Experience with 3rd party applications a plus (Sophis, Murex, Calypso, etc).
  • Experience with various regulatory risk reporting, (FRTB, Volcker, etc.)
  • General knowledge of front-to-back trade lifecycle: risk frameworks, market data, funding, collateral management, trade execution venues, etc.
  • Good understanding of QA processes and Procedures
  • Experience with Python or other programming languages
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