| Employer: | Bank of America | Job Ref No: |
1200005951
| Job Title: |
Business Analyst Manager : 1200005951
| Sector: |
Asset Management
| Sub Sector: |
Other
| Risk Type: |
Credit
| Expertise: |
Trading/Derivatives
|
Provides technical systems and software support for maintenance, modification, implementation, or conversion of business systems to support ongoing delivery of services and/or operations in the Front Office environment. Manages multiple applications/development projects, or single major complex initiatives in a small area of the development function. Translates business needs into technical requirements and ensures all systems support and conform to business needs and specifications. Associates are expected to have in-depth capital markets product knowledge, and manage a high level of risk. Acts as liaison between business unit and software and hardware developers and vendors. Serves as a fully seasoned and proficient technical resource. Responsible for day to day supervision for a small team of associates; provides coaching and input into the perf mgmt process. Typically requires 5-7 years of applicable experience. This job code is only to be used for associates supporting Capital Markets.
Specific Description:
- Project Manager for a significant project to upgrade market risk core technology.
- Manage Project Managers and Business Analysis as it relates to the project. Facilitate cross team sharing of plans, resources, and hardware.
- Define BRDs and Project Plans along with the risk managers and change managers.
- Manage the project plan, with an emphasis on development, testing and implementation phases.
- Provide status to senior tech and business managers.
- Utilizes an understanding of financial industries inorder to manage the creation of quality BRDs. Qualifications Required Skills:
• 5+ years PM/BA experience in trading or risk management environment
• 2+years Development experience for a trading or risk management desk
Desired Skills:
• Financial product knowledge - any spcific knowledge of P&L or Risk Management, or indepth Mortgages, Rates, Credit, or Equities product knowledge.
| Region/Country: | - | States/Counties: | - | City: |
NEW YORK
| Address: | | Post Date: | 02/09/2012 |