Team Member-Risk Business Analyst/Projects

3 weeks ago


Navi Mumbai Mumbai City Mumbai, India Yes Bank Limited Full time

Job Description Location: Mumbai Designation: Manager/ Senior Manager Business Analyst - Risk Function Reporting to: Risk Business Analyst Experience: 3 Years or more Role Summary: - Functional Business Analyst in Risk domain catering to Market Risk. - Project Manager for identified developments responsible for Business Requirement Gathering, Business Requirement Documentation (BRD), Outlining Operating Processes, Partnering with Technology team in Systems development, Performing UAT, Project delivery, assisting technology team in User training, Identifying Opportunities for Improvement, and Contributing to End User Training. Key Responsibilities: - End-to-end project management of system developments/enhancements. - Liaise with Functional teams and Technology team of the Bank to: - Garner requirements from Functional teams for new system development/system enhancements. - Leverage business and functional knowledge to solve problems through proposals developed in close partnership with internal stakeholders and vendors. - Develop detailed plans and accurate estimates for completion of requirements and acceptance phases of projects. - Contribute to the design and development of the project-level roadmap, ensuring sufficient business benefit is realized within each phase. - Prioritize requirements and create conceptual prototypes & test cases. - Conduct UAT based on test cases discussed with Functional teams. - Resolve conflicts and issues of medium complexity, escalating others as appropriate. - Ensure adequate end-user documentation and training. - Participate in evaluation of 3rd-party vendors and software. Qualifications: - MBA or any equivalent degree. - CFA / FRM / ALM / Treasury related certifications will be an added advantage. - Knowledge of SQL / R programming / Python / Robotics would be an added advantage. Competencies: - Understanding of Project management & knowledge of Market Risk. - Understanding and application of necessary regulatory environments (RBI / Basel). - Awareness of Risk measurement tools and practices for Treasury products and Risk function (VaR, NOP, IRS, LR computation). - Knowledge of Value at Risk, Counterparty Exposure, Valuation, Stress Testing, Ratescan. - Experience in Murex and Murex satellite applications. - Understanding of Data Mart framework will be an added advantage. - Acquaintance of latest technologies & trends in banking. - Analytical thinking & problem-solving abilities. - Proficient in Microsoft Excel.



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