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BA - Financial Risk
Ref No.: 13-00048
Location: New York, New York
Start Date: 12/01/2013
Job Description: Senior Business Analyst
Requirements:
Working knowledge of the recent US capital regulations for big financial institutions, such as CCAR. 
Extensive calculation knowledge on Market Risk VaR and Credit Risk Potential Exposure, Expected Exposure
Extensive knowledge on risk models – Monte-Carlo, Historical Simulation, Internal Models Methodology (IMM), Current Exposure Methodology (CEM)
Familiarity with Dodd-Frank Act and US-specific Basel III regulatory rules
Knowledge in Backtesting methodologies 
Understanding of Finance processes or knowledge of upstream Front Office & Middle Office Operations processes
Experience with regulatory compliance - FINMA, PRA and FED 
Investment Banking product knowledge essential.
Previous experience of working across CS Market and Credit Risk requirements is highly desired
Ability to use quantitative and analytical problem solving skills to break down complex problems and frame them into simple terms 
Familiarity with Internal and External BA tools, techniques and documentation formats
Self-motivation and inquisitive nature, self-starter; ability to think outside the box, originate new ideas and implement; hard working, quick to learn, and passion for excellence.
Strong communicator (Writing, listening & playing back, presenting)   
10+ years of work experience in financial institution