Senior Fixed Income Integration Business Analyst
Why This Role Stands Out
This hybrid role offers a fantastic opportunity to make a significant impact at a leading financial institution, integrating complex fixed income products and driving seamless trade lifecycle management. You'll thrive here if you have a strong background in fixed income, business analysis, and a passion for bridging business needs with technology solutions. Apply today to grow your expertise in a dynamic and collaborative environment.
Quick Overview
Job Description
Project description
An opportunity is available for a Fixed Income Integration Business Analyst to join our client, a leading Australian financial institute, as a key contributor to the implementation and configuration of Bond and Repo products. This role involves integrating trade flow from upstream interfaces, security static data setup, and managing end-to-end fixed income settlements. The successful candidate will work at the intersection of business and technology, ensuring seamless trade lifecycle management from execution through to settlement.
Responsibilities- - Serve as the Business Analyst for Fixed Income Integration workstreams, covering Bond and Repo product setup, trade lifecycle, and settlement on the client's clearing/risk platform.- Configure and validate Bond static data setup sourced from external agencies like Blomberg, Refinitiv- Manage integration of Bloomberg TOMS and VCON trade flows into the trading platform defining trade capture requirements, message mapping, FIX/API specifications, and exception handling.- Define and document requirements for Bloomberg Data License (DL) feeds - security reference data, pricing, corporate actions, yield curves - and their consumption by downstream risk and settlement systems.- Support the full Bond and Repo trade lifecycle from trade capture, validation, enrichment, position management, through to netting and settlement instruction generation.- Define and validate SWIFT settlement messaging requirements covering Secuirty, Cash settlements- Perform gap analysis between current-state and target-state for fixed income trade processing, static data management, and settlement workflows.- Facilitate workshops with Front office, Operations, and Technology teams to elicit requirements and validate integration designs.- Support UAT and end-to-end testing of trade flows, static data loads, and settlement message generation.
- - 5+ years of experience in Capital Markets with a strong focus on Fixed Income (Bonds and Repos).- Understanding of various bond products like Fixed / Floating Rate, T-Bills, Zero Coupon and Asset Backed.- Understanding of Repo-specific processing open vs term repos, repo rate conventions, haircuts, close leg generation, substitution.- Excellent knowledge of the Bond and Repo trade lifecycle pricing, trade capture, confirmation and settlement.- Hands-on experience with Bond static/security master setup from interfaces like Blomberg / Refinitiv, reference data sourcing.- Good understanding of security settlement models, netting, and CSD/custodian interactions- Strong understanding of SWIFT MT 540-548 settlement messages, message structure, matching rules, and settlement status workflows.- Experience with integration design defining interface specifications, data mapping, FIX protocol, API connectivity, and file-based feeds between front-office and post-trade systems.- Familiarity with Bloomberg TOMS and/or Bloomberg VCON for trade order management and trade capture in fixed income.- Demonstrated experience in business analysis requirements elicitation, User story preparation, data flow documentation, and stakeholder facilitation.- Strong analytical and problem-solving skills with attention to data quality and reconciliation.- Strong communication and interpersonal capabilities for effective collaboration across trading desks, operations, technology, and external custodians.- Experience working within Agile project environments.
- Experience with Nasdaq Calypso, Eqlipse (clearing, risk, or CSD modules), Murex or other trading platforms- Knowledge of SWIFT ISO 20022 (MX) messaging structure, experience in MT to MX migration.- Experience with CCP risk engine concepts like margining (IM/VM), VaR, position keeping for fixed income instruments.- Basic technical knowledge in SQL, XML, JSON for data analysis, message validation, and issue investigation.- CFA / FRM or other BA certifications are desirable- Customer Centric - understanding the needs of our internal and external customers and ensuring that solutions developed meet / exceed these needs.
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