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Business analyst

Melbourne
Sirius People
Business analyst
Posted: 22 December
Offer description

Project Description

We have been engaged by a large Australian Bank to provide experienced consultants to support their Market Risk technology as part of some migration, maintenance and upgrade. The program focuses on delivering a steady and efficient risk management platform for Treasury Front Office, TMO, and Risk teams to effectively manage the bank's funding and market risk exposures. Role involves bringing deep expertise of market risk functions, drive change initiatives, and work closely with business stakeholders to ensure seamless delivery of enhancements and new functionalities with minimum / no disruptions to business functionalities.


Responsibilities

* Lead Market Risk enhancements and optimizations in the bank's platform
* Participate in functional testing and parallel run activities to test Mark to market differences and trade completeness between front office and risk system (FIS)
* Validate and analyze market and reference data for all the asset classes such as Bonds and IR Future, Commodities, Cap/Floor, Swaption, etc for Market risk & FRTB regulations
* Maintain and update risk database for the FIS risk engine requirement and build controls to validate the data lineage and integrity
* Analyze and resolve issues related to FIS system configuration, pricing, sensitivities, and market data for the current production trades
* Write & Review documentation for various functional areas such as market and reference data, system configurations, reporting etc across the program
* Independently engage with end users to gather, clarify, and document business requirements
* Own and drive the implementation of Market Risk configurations, configuring various Stress / Back testing reports and optimizations
* Optimize existing risk methodologies and model validations to improve performance and accuracy
* Conduct impact analysis and validation of Market Risk measures (e.g., VaR, PV01, CR01, PnL vectors)
* Drive functional validations for Market Risk metrics and coordinate testing with end users
* Troubleshoot, debug and resolve complex issues related to Market Risk computations
* Work closely with cross-functional teams including Risk, Front Office, and IT to ensure seamless integration of risk measures
* Provide guidance and mentorship to junior team members
* Contribute to process automation and continuous improvement of release cycles


Mandatory Skills Description

* 8+ years of experience as a Market Risk BA
* Deep expertise in Market Risk Models, FRTB and asset classes including MM, Fixed Income, FX, and IR Derivatives
* Excellent understanding on pricing derivatives and option products, configuring market data / curves
* Proven ability to develop, configure, and optimize Market Risk calculations independently
* Experience in configuring and running risk computations including reval runs, normalized runs
* Strong business stakeholder management skills, with experience in running risk measure validations
* Extensive hands‑on experience in Market Risk functional validations (e.g., Interest Rate VaR, Stress Testing)
* Expertise in configuring and validating various Market Risk measures such as VaR, PV01, CR01, and PnL vectors
* Strong analytical skills to explain differences in VaR results between Murex and other risk systems
* Good understanding of Oracle and/or SQL Server RDBMS, with strong SQL skills for data analysis and validation


Nice‑to‑Have Skills Description

* Experience with Unix/Linux environments and scripting (Shell, Python, etc.)
* Experience on lading OTC trading platforms Murex, Calypso, FIS
* Exposure to GIT for version control
* Good knowledge of CI/CD methodologies and tools
* Understanding of regulatory risk requirements (FRTB, Basel framework, etc.)
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