The ideal candidate will have a broad-based experience of the post-trade lifecycle and have had exposure to multiple asset classes across Equity and Debt products including Securities Financing transactions as well as FX, Money Markets and Derivatives.
Responsibilities:
Contributing to delivery of new client implementations, participating in all phases (e.g., gathering business requirements, matching clients’ business flows to platform functionality, gap analysis, design, configuration, testing support, training and go-live activities).
Own specific implementation activities, participating in workshops and providing SME knowledge necessary to understand scope and define functional gaps.
Create detailed documentation appropriate to multiple audiences and stakeholders including high-level functional presentations, user stories and features, test cases, etc.
Support of testing cycles – specifically assistance in resolution of queries and defects.
Essential requirements:
Experience of working on securities processing platforms (either in-house or vendor solutions) in an investment banking environment.
Subject matter expertise across multiple areas of post-trade processing.
Product knowledge covering Equity, Fixed Income, FX, Money Markets and Derivatives transactions.
Experience of large-scale projects and good understanding of the full project lifecycle and governance.
Proven capability and track record in gathering, definition and specification of requirements.
The ideal candidate will have a broad-based experience of the post-trade lifecycle and have had exposure to multiple asset classes across Equity and Debt products including Securities Financing transactions as well as FX, Money Markets and Derivatives.
To apply, or for more information, please contact Mervyn Stovell