*Plz send matching profiles to **ki...@globalnest.com***


*F2F after telephonic and locals are preferred*

* *

*Position: Business Analyst with Fixed Income, Credit, Equities Commodities*

*Location: NYC, NY*

*Duration: Long Term*

*Description:*

·         *6+ years experience working as a Business Analyst/Risk Manager in
a Financial Firm.*

·         Strong experience in the areas of *Market and Credit Risk areas*.

·         Excellent understanding of financial products (*Fixed Income,
Credit, Equities Commodities*) and the *risk methodologies*

·         *VaR analysis, Greek / Sensitivity, Scenario Analysis, Stress
Testing, Back-testing, Risk Concentration / Diversification and What-if
Analysis for risk and capital management.*

·         Writing & reviewing business requirements and functional
requirements for various risk modeling approaches for market and credit
risk.

·         Should be an effective liaison between business (Risk Management)
and Technologists. *Experience in QA*



*Software Skills:*

*SQL, Access, Excel*

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