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Senior FX Project Manager Business Analyst, Market Risk/ Credit Risk
I am seeking a Senior FX Project Manager Business Analyst, with Market Risk/ Credit Risk experience, to lead multi million pound projects within the Market Risk Management and Control function of this large investment bank based inCanaryWharf. As the PM/BA, you will be involved in a large scale system implementation programme within Market Risk.
The role of the Senior Project Manager and Business Analyst, Markets Risk is to be responsible for the roll-out of the Strategic Market Risk Environment, and help in the design of new risk engines to cope with the increased demand across risk within the investment bank. As the Senior FX Project Manager Business Analyst within Market Risk/ Credit Risk, you will be sitting directly on the trading floor and acting as a bridge between Finance and IT
This is a permanent role, based inCanaryWharfwith a salary of £70-90k plus car allowance, plus strong bonusesYour responsibilities as Senior FX Project Manager Business Analyst will include: * Working closely with FX, Market Risk Managers and Market Risk Control staff to oversee the successful roll-out of the Market Risk Strategic Infrastructure through to completion. * Owning the regional Project Plan and monitoring project deliverables. * Indirectly managing a team of Business Analysts to deliver the solution according to requirements. * Managing key Non-Functional Requirements across the landscape, ensuring that these are implemented as documented. * Working with the Test Manager to derive a suitable test strategy for each phase of the project. This is a brilliant, senior level PM/BA role with a high level of responsibility and visibility so will be an ideal opportunity for a strong Senior Project Manager Business Analyst with excellent FX and market risk knowledge, to grow within a fast paced, multi million pound project where you will have real responsibility Requirements * Strong background as a project manager within investment banking * Strong FX knowledge * Experience working on the trading floor * Market risk and Credit risk knowledge * Experience working on, and upgrading risk engines (algo/ Monte Carlo etc) * Experience on a large scale system implementation programme within Market Risk/ credit risk or FX
I am short listing for this role this week, so please do apply ASAP to be considered. To apply, please either reply back to this email with an up to date copy of your CV, or follow the link below, good luck
To find out more about Huxley Associates please visit www.huxley.com