





Niche trade-reporting regulatory skillset with domain specificity reduces applicant density.
Highly domain-specific capital markets regulatory and trade-reporting expertise limits cross-industry transferability.
Mandatory 6+ years, deep regulatory trade-reporting expertise and advanced SQL make hiring filters strict.
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Own end-to-end business analysis lifecycle for regulatory trade reporting programs, including requirements elicitation, documentation, and stakeholder engagement.
Lead testing and validation activities such as functional test case design, UAT coordination, data validation, and defect management to ensure compliance with trade reporting regulations.
Manage regulatory change impact assessments and maintain requirements traceability to support accurate and auditable delivery of trade reporting systems.
Minimum 6 years of business analysis experience focused on trade reporting and regulatory compliance in capital markets or financial services.
Strong knowledge of regulatory frameworks including MiFID II, EMIR, ASIC Derivative Transaction Rules, and CFTC.
Proven hands-on testing skills including SQL querying for data validation and reconciliation, UAT execution, and defect management.
Work Experience Required: 6+ years in relevant domain
Experienced in capital markets trade lifecycle and products like OTC derivatives, FX, fixed income, equities, and repos with regulatory reporting responsibilities.
Demonstrates ability to translate complex regulatory requirements into clear functional specifications and effective test cases within Agile delivery environments.
Strong stakeholder management track record engaging compliance, legal, risk, and technology teams with credible regulatory domain expertise.