Senior Market & Liquidity Risk Business Analyst - Venn Group
Quick Overview
Job Description
Senior Market & Liquidity Risk Business Analyst
London (Hybrid) | Up to £850 per day Umbrella | 6 month contract
A global investment bank is seeking an experienced VP-level Business Analyst to deliver technology and systems change across its Market and Liquidity Risk functions.
This is a senior, business-facing position requiring someone who can operate autonomously, build trust with senior stakeholders and bridge the gap between Risk, Treasury, Front Office and Technology.
Key responsibilities:
- Lead stakeholder workshops and gather business requirements.
- Translate complex risk requirements into functional specifications, process flows and data mappings.
- Support Risk technology change through design, testing, implementation and business adoption.
- Assess the impact of changes across risk systems, processes and data flows.
- Work closely with Market Risk, Liquidity Risk, Treasury, Front Office and Technology teams.
- Manage competing priorities and drive stakeholders towards agreed solutions.
Required experience:
- Senior Business Analysis experience within investment banking or capital markets.
- Strong Market Risk and/or Liquidity Risk knowledge.
- Experience delivering technology, systems or regulatory change within Risk.
- Knowledge of areas such as VaR, Expected Shortfall, FRTB, stress testing, LCR, NSFR or ILAAP.
- Excellent communication, stakeholder management and workshop-facilitation skills.
- Experience producing functional specifications, data mappings, user stories and test requirements.
- Ability to operate independently and establish credibility at VP level.
Technical knowledge of SQL, Python and risk platforms would be beneficial, although this is a stakeholder-led change position rather than a development role.
Please apply with your latest CV to discuss the opportunity.
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