Overview

Desired Skills and Experience:

– Total experience of minimum 8 years and project management experience of 5+ years ideally in Market Risk or Counterparty Credit Risk management or Risk Technology as a Project or Program manager.

– Good knowledge of the Market Risk or Counterparty Credit Risk domain and metrics like – VaR, Expected Shortfall, IRC, PD, LGD, EAD, PE, PFE, EEPE, VaR, RWA etc., knowledge of Settlement Risk and Stress Testing.

– Proficient in the use of various tools (e.g. Confluence, JIRA, MPP) to manage project deliverables

– Understanding of Risk data f lows and architecture including risk limits

– Ability to utilise and adapt delivery methodologies to suit the projects, stakeholders through the lifecycle of the project

– Ability to lead dedicated workstreams and manage multiple deliveries end to end concurrently

– Self -starter with excellent presentational, verbal and written communication skills with the ability to communicate at a range of levels within the organization.

– Prior experience in credit risk system implementations and involvement in regulatory projects.

– Exposure to Market Risk or Credit Risk systems, data and processes involved in generating Risk regulatory capital.

– Strong attention to detail, accuracy and timeliness of delivery.

– Experience in defining Testing approach, test plan and test co-ordination.

– Proven experience facilitating the elicitation of requirements from end users and translating them to user, functional and non-functional requirements for Development Teams. Work with development teams (IT) to clarify that design meets requirements.

– Detailed knowledge of all Microsoft Office products, i.e. Word, Excel, Project & Power Point

– Management of business analysis and project manager resources to deliver multiple projects/workstreams

– Good educational pedigree, finance/risk domain and Project Management certifications (MBA, PMP, Agile Scrum Master, FRM etc.)