Financial Business Analyst - Atlantic Partners (New York)
SUMMARY:
Working as a Business Analyst within the Treasury Liquidity Monitoring and Reporting Program. The business analyst will work closely with the work stream manager, senior business analyst, key business stakeholders and technology to prepare business requirements, functional specifications, operational process documents, project plans and weekly status update.
Responsibilities:
Business/data analysis and project management within Citi Treasury, focusing on the area of Liquidity Risk Management/Reporting (For example, FRB 4G, Basel III, FSA, CRD IV, and
Liquidity Stress Testing)
Prepare project plans/implementation plans and provide updates on project status meetings, including preparing agendas and minutes
Work closely with senior project sponsors, key Liquidity Reporting business users and technology to write scope, business requirements and functional specification documents
Liaison between Liquidity Business users and Liquidity Systems development group to develop solutions for Liquidity Risk Reporting such as 4G, Basel III, FSA, CRD IV, Concentration
Reporting and Liquidity Stress Testing, and Daily Deposits Reporting
Write test plans and manage system testing efforts for both System Integration Testing and User Acceptance Testing
Ensure projects follow project management procedures and meet Information Security policy requirements
Troubleshoot, in an organized fashion, by breaking down issues into components in order to solve the problem
Work with subject matter experts to produce relevant artifacts (process flow charts, user requirements, user guides, release notes)
Key Skills:
Business analysis and project management of Finance/Treasury projects
Subject Matter Expertise of Liquidity Risk Management/Reporting including Basel III requirements for a multinational bank
Ability to communicate effectively with project stakeholders and IT
Knowledge of Regulatory Reporting Practices, Risk Measurement and Analysis
Understanding of financial products (Securities, Deposits, Loans, Derivatives, Debt and Secured Financing) on a banks balance sheet
Experience as a liaison between business users and systems development group to develop solutions for Liquidity Risk Reporting / Management
Knowledge of Liquidity Stress Testing (S2), Daily Liquidity Summary Reporting, Cash Capital Ratio, Market Access Report, Maximum Cash Outflow, Available Liquidity Resources, Basel III
Reporting, FRB Daily Report, Concentration Reporting and European Liquidity Coverage Ratio
Experience:
8+ years experience in Financial services working on medium to large-scale global projects
BS/BA required (MS/MBA a plus)
Excellent communication skills, both oral and written
Excellent analytical and problem solving skills
Understanding of the Treasury function within a bank
Excellent interpersonal skills
Strong multi-tasking skills required
Must be able to come up to speed quickly - quick learner
Strong Excel skills required
Source: http://www.jobofmine.com/job/view/id/92856957/post_id/92856971
• Post ID: 36965793 newyork