Overview
On Site
$50
Contract - W2
Contract - long term
Skills
capital
Job Details
Job Title: Capital Markets Analyst Customer Risk Management Products (CRMP)
Location: Farmington Hills, MI (Hybrid 3 Days Onsite)
Division: Commercial Banking Capital Markets
Job Summary:
- Seeking a Capital Markets Analyst to join our Customer Risk Management Products (CRMP) team.
- This role supports middle-office control functions and focuses on interest rate derivatives, foreign exchange (FX), and energy derivative products.
- The ideal candidate will have a strong business background in capital markets, solid knowledge of contract terms, and a detail-oriented approach to analyzing agreements and data to support risk and regulatory compliance efforts.
Key Responsibilities:
Responsibility | % of Time |
Analyze complex data for risk monitoring | 25% |
Investigate and resolve exceptions | 20% |
Reconcile financial records | 15% |
Compile data, produce, and distribute reports | 10% |
Review and approve reports/accounting entries | 10% |
Confirm rates and transactions | 10% |
Create and update system master records | 10% |
Required Skills:
- Strong banking background in Capital Markets around Customer Risk Management Products (CRMP).
- Understand the full business lifecycle of Foreign Exchange (FX), interest rate, and energy derivatives.
- Interpret and extract critical data points from master agreements and counterparty contracts (e.g., ISDA).
- Apply knowledge of valuation processes including mark-to-market calculations.
- Support regulatory reporting under Dodd-Frank as well as EMIR, ASIC, and/or CFTC.
- Collaborate with design teams to identify relevant data, while ensuring accuracy and completeness.
- Focus on using data from signed agreements to support existing reporting and compliance frameworks (no new report development).
- Analyze the results of CFP and other control functions related to capital markets.
- Proficiency in SQL for data extraction and querying.
- Familiarity with data governance, transformation, and integrity processes.
- Strong Excel skills and comfort with data entry and reconciliation.
- Basic understanding of accounting principles and collateral management.
- Prior experience in a non-technical role within capital markets or middle-office functions .
- Bachelor's degree in Finance, Economics, Business, or related field OR 4 years of relevant professional experience.
- Strong attention to detail and analytical thinking.
- Ability to interpret contractual language and apply it to risk and compliance operations.
- Effective communication skills for working cross-functionally with reporting, legal, and control teams.
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