Overview
Hybrid4 days onsite
Depends on Experience
Full Time
Skills
Asset Management
Back Office
Banking
Bonds
Calypso
Derivatives
Fixed Income
Regulatory Compliance
Regulatory Reporting
Root Cause Analysis
Profit And Loss
Murex
Trading
Process Mapping
Job Details
"If you're currently feeling overworked at a top-tier bank, this could be the perfect opportunity for a change. My client, a leading consulting firm, partners with several major financial institutions and offers a role that restores work-life balance—with a consistent 40-hour workweek and a full benefits package comparable to what you're receiving now."
NOOOOOOOOOOO 3RD PARTIES- RESPECT MY REQUEST
We currently have an urgent need for a Business Analyst Capital Markets (Fixed Income) Location: Hybrid (within commuting distance to New York, NY) Full-time position & base salary based on exp. Industry: Financial Services
NO 3RD PARTIES*****If interested message me asap- Position Overview: A Tier 1 financial institution is seeking an experienced Business Analyst with deep domain knowledge in Capital Markets specifically Fixed Income products such as bonds, repos, swaps, and derivatives. The successful candidate will possess a strong understanding of the trade lifecycle and its associated front, middle, and back-office functions. This is an ideal opportunity for a detail-oriented professional with a proven track record in Tier 1 banks or top investment firms, capable of translating business needs into technology solutions in highly regulated, fast-paced environments. Key Responsibilities:
Gather, analyze, and document business and functional requirements related to Fixed Income trading and operations
Collaborate with cross-functional teams including traders, risk managers, operations, and IT to enhance trade lifecycle workflows
Translate business requirements into functional specifications and user stories
Support design and delivery of system enhancements and new product functionalities Serve as liaison among front, middle, and back-office stakeholders
Conduct root cause analysis for trade breaks or system/process gaps
Lead UAT efforts in conjunction with QA and business teams
Ensure regulatory and risk compliance throughout project lifecycles Required Qualifications:
Minimum 7 years of experience as a Business Analyst in Tier 1 banks, investment banks, or asset management firms
Deep knowledge of Fixed Income products and related trading processes
End-to-end understanding of the trade lifecycle: capture, confirmation, settlement, PnL reconciliation
Experience working across trading, risk/control, and operations teams
Expertise in requirement gathering (BRDs/FRDs), process mapping, and documentation
Excellent verbal and written communication skills with the ability to manage senior stakeholders
Familiarity with trading and post-trade platforms (e.g., Murex, Calypso, MarkitWire) is a plus
Knowledge of regulatory reporting and compliance frameworks preferred Education & Certifications:
Bachelor s degree in finance, Economics, Business, or related field (required)
NO 3RD PARTIES*****If interested message me asap- Position Overview: A Tier 1 financial institution is seeking an experienced Business Analyst with deep domain knowledge in Capital Markets specifically Fixed Income products such as bonds, repos, swaps, and derivatives. The successful candidate will possess a strong understanding of the trade lifecycle and its associated front, middle, and back-office functions. This is an ideal opportunity for a detail-oriented professional with a proven track record in Tier 1 banks or top investment firms, capable of translating business needs into technology solutions in highly regulated, fast-paced environments. Key Responsibilities:
Gather, analyze, and document business and functional requirements related to Fixed Income trading and operations
Collaborate with cross-functional teams including traders, risk managers, operations, and IT to enhance trade lifecycle workflows
Translate business requirements into functional specifications and user stories
Support design and delivery of system enhancements and new product functionalities Serve as liaison among front, middle, and back-office stakeholders
Conduct root cause analysis for trade breaks or system/process gaps
Lead UAT efforts in conjunction with QA and business teams
Ensure regulatory and risk compliance throughout project lifecycles Required Qualifications:
Minimum 7 years of experience as a Business Analyst in Tier 1 banks, investment banks, or asset management firms
Deep knowledge of Fixed Income products and related trading processes
End-to-end understanding of the trade lifecycle: capture, confirmation, settlement, PnL reconciliation
Experience working across trading, risk/control, and operations teams
Expertise in requirement gathering (BRDs/FRDs), process mapping, and documentation
Excellent verbal and written communication skills with the ability to manage senior stakeholders
Familiarity with trading and post-trade platforms (e.g., Murex, Calypso, MarkitWire) is a plus
Knowledge of regulatory reporting and compliance frameworks preferred Education & Certifications:
Bachelor s degree in finance, Economics, Business, or related field (required)
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