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Mid-level generalist title, metro location, and common experience band increase applicant density.
Requires specialized derivatives and margin/collateral expertise, limiting cross-industry transferability.
Mandatory derivatives domain experience and explicit 3+ years requirement increase shortlist strictness.
Translate client and business requirements into detailed functional and technical specifications for development and QA.
Produce and refine Jira tickets, define functional acceptance criteria, and create user documentation for new features.
Specify initial margin calculation models, prototype calculators and wireframes, and validate testing results to support collateral and margin workflows.
3+ years experience as a Business Analyst in banking, buy-side, or technology solution provider.
Strong understanding of margin and collateral workflows and cleared OTC, ETD or Bilateral derivatives.
Proficient in Jira and project management tools; strong data manipulation skills with JSON, CSV, XML.
Bachelor's degree in mathematics, science, business, or related field.
Experienced in financial services with domain expertise in market risk, credit risk, or collateral analytics.
Comfortable working cross-functionally with delivery, product owners and technical teams, including guiding non-financial developers.
Ability to rapidly absorb complex financial use cases and translate them into clear technical and functional documentation.