Vice President, Business Analyst - Capital Markets Operations

External listing

Crédit Agricole CIB

New York, NYONSITEPERMSENIORBA

ETRM Role Details

ETRM Packages: Orchestrade
Commodity Focus: Power

Job Description

Summary

Within the project group, the business analyst will work on projects involving Capital Market Operations.

Capital Market Operations Project Team supports:

  • Back Office: Equities, Fixed Income, FX-MM, Derivatives,

  • Middle Office: Treasury, Credit, FX, IRD, Securitization & Collateral.

  • Control & Reconciliation

Key Responsibilities

  • Write business requirements/expression of needs.

  • Validate specifications from a functional standpoint.

  • Draft the test strategy and coordinate User Acceptance Tests.

  • Manage the communication around projects to all stakeholders located in the US and Head office.

  • Write and/or update operational procedures.

  • Formalize process flows (functional and system-related mappings).

  • Support and implement the change management actions (new products, new process definition, gap analysis formalization, post-implementation follow up, trainings, operational risk monitoring).

  • Ensure post Go Live follow up actions.

Management and Reporting

Reporting to the head of Capital Market Operations Projects

Key Internal contacts

CMO NY/Paris:

  • Back Office: Equities, Fixed Income, FX-MM, Derivatives,

  • Middle Office: Treasury, Credit, FX, IRD, Securitization & Collateral.

  • Control & Reconciliation

Other CMO projects teams:

  • CMP Paris, CMO Montreal, CASPL Mumbai.

  • NY departments: Front Office, Permanent Control, IT, BCP, Finance, Risk, Audit, Compliance

Key External contacts

  • System Vendors

Education Essential

  • Master’s degree

Experience Essential

  • 7 – 10 years’ experience required
  • Project Certifications (PMP, Six Sigma, Lean, Agile…) is a plus

Competencies:

  • Team player
  • Excellent presentation skills
  • Excellent writing skills
  • Good time management skills
  • Ability to react quickly and use own initiative
  • Ability to work with minimum dailysupervision

Skills & Knowledge Required:

  • Expertise or valuable working experience on/understanding Equity (Financing & Hedging) activity and FO-to-BO booking and processing is essential
  • Knowledge of project management and project life cycle
  • Working Knowledge of Capital Market operations & systems (e.g. Helix, Orchestrade, Sophis, Calypso, Phase3)
  • Working knowledge of Financial products (Bonds, Equities, Securitization)
  • Strong knowledge of the Microsoft Suite (XL, Word, PowerPoint).
  • Good oral, written & presentation skills

Skills & Knowledge Desired:

  • Knowledge of US Regulations (FED BONY, DTCC, FICC Clearer role, 15A6 reporting) and European Regulations (DFA, EMIR, Volcker…)
  • Ability to develop Macros

Relevant Information

  • Languages skills: English
  • Fluency in French highly desirable