Job Description
Note:- looking for candidates those who are presently in Canada
Must have:
What you will bring:
· Undergraduate degree in a technical field (i.e. Finance, IT, Mathematics)
· Professional designations
· CFA, FRM, PRM would be an asset
· 10+ Years of Investment Industry experience, preferably with various Derivative Instruments
· 10+ Years of experience working with IBOR systems like Murex, Calypso, Charles River etc.
· Proven experience as a Business Analyst in Financial Services, preferably Pension Funds
· Proficiency with SQL, spreadsheets, database applications and some type of general-purpose programming language (Python)
· BI Tool experience (specifically with Qlikview/QlikSense, Power BI). Experience in report design, report implementation, and underlying data modeling
Nice to have
· Experience in configuring and maintaining production systems (P&L systems preferred)
· Trading Platform Config experience
· Practical product knowledge, with a solid understanding of theoretical fundamentals, especially those related to derivative valuations and structures
· Diligent with strong troubleshooting and problem-solving skills
· Ability to think conceptually, creatively, always looking for new ways of doing work. Lead initiatives to develop and implement improvements.
· Able to work independently with minimal direction as well as part of a team
· Works well under pressure handles concurrent tasks, and meets prescribed deadlines
· Keen eye for detail and accuracy