Business Operations Analyst, Spanish Fluent
Posted 52ds ago
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Job Description
Business Operations Analyst at Numerix collaborating with teams for operational excellence and client services. Focused on market finance and technology with a proactive approach to workflows and analytics.
Responsibilities:
- Define, design and implement standard operating procedures to run business operations on behalf of Numerix SaaS clients.
- Perform daily monitoring activities and verification of reports for market and counterparty credit risk analytics including MTM, Greeks, PFE, CVA, FVA, VaR etc. for front and middle office users.
- Perform daily monitoring alerts on the success/failure of daily runs, batch processes and market data feeds. Perform periodic intra-day checks of the health of OneView applications, ancillary systems, processes, data feeds, to ensure operational integrity and fulfilment of SLAs.
- Respond to daily request for operational support activities including trade setup and corporate action.
- Respond to request for technical support, application issues, feed issues; triage and resolve issues, manage the escalation to value streams.
- In the capacity of Incident Manager and in accordance with Numerix Incident management policy, manage incidents discovered through automated systems alerts, or reported by clients.
- Manage the release of OneView application releases in pre-production with the coordination of dress rehearsals and parallel runs.
- Lead and coordinate, with clients, the release of OneView applications GA and patch releases in production environments.
- Produce internal and external reports with statistics to measure service via service reviews and management reporting (includes incidents, cases etc.).
- Management of Market data documents.
Requirements:
- 2+ years’ experience in the Financial Services industry consisting of at least 2 years treasury experience in front or middle office environments.
- Bachelor’s in finance and IT.
- Mandatory – Linux & Python.
- Working knowledge of public and OTC Cash and Derivative products. Exposure to multiple Asset Classes (FI, Commodities, Credit, Equities and FX) is a plus
- Working knowledge of Market and Credit Risk (Var, XVA, Greeks etc).
- A solid grasp of market and counterparty credit risk fundamentals.
- Familiarity with at least one of the following systems (Bloomberg, Calypso, Murex, Misys, Risk Metrics, Calypso, Algorithmics) is a plus.
- Familiarity Amazon web service. step function etc.
- Ability to prioritize and perform in complex, fast-paced situations. Excellent troubleshooting and communication skills.
- Ability to multi-task and effectively manage multiple deadlines and deliverables.
- Being able to work and adapt to change in a fast-paced environment.
- Strong attention to detail and willingness to take ownership of issues.
- Basic knowledge of scripting languages including Python and cloud-based hosting solutions (AWS preferred).
Benefits:
- Health insurance
- Professional development
- Flexible work arrangements



















