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Niche senior capital-markets role with specialized regulatory expertise reduces applicant competition.
Strong capital-markets and regulatory domain expertise required limits transferability across industries.
Requires deep capital-markets domain expertise, regulatory knowledge and SAFe certification, so filters will be strict.
Collaborate with Front Office, Middle Office, Operations, Risk, and Compliance to gather and clarify business requirements for front-to-back trading, risk, and post-trade systems.
Analyze, document, and translate complex capital markets requirements (BRDs, FRDs, user stories) specifically covering lifecycle stages including pre-trade, execution, clearing, settlement, and reporting.
Support UAT activities and Agile delivery, ensuring regulatory compliance (e.g., MiFID II, EMIR, Dodd-Frank) across system enhancements and new products.
Experience Required: Strong domain expertise in Capital Markets and Investment Banking with knowledge of equities, fixed income, FX, derivatives, trade lifecycle, risk management, and settlement processes.
Mandatory Skills: Proficiency in requirements documentation, Agile methodologies, and tools such as JIRA, Confluence, Visio/Lucidchart, SQL (basic-intermediate), MS Excel.
Required Certifications: SAFE Certified (explicitly mentioned)
Work Experience Required: Not explicitly mentioned in the JD
Deep understanding of front-to-back investment banking systems including OMS, EMS, risk, and post-trade systems, enabling effective gap and impact analyses.
Ability to clearly translate complex capital market concepts to technical and QA teams, implying strong analytical and communication skills within a multi-stakeholder environment.
Experience working in Agile or hybrid teams with regulatory compliance alignment indicating operational effectiveness in dynamic delivery environments.