PROFILE
A highly motivated and dedicated individual with over two decades of Capital markets experience, coupled with an in-depth knowledge of many front office systems. I have worked extensively in project management, business analyst and testing roles, through development, implementation, testing and support. I am equally comfortable working with the business and technical side of organisations and have acted as an effective conduit between the two on many occasions. I take an analytical approach to issues and I am data driven. Comfortable with agile or waterfall methodologies.
KEY SKILLS
Front Office configuration & controls, FO to BO application support, Trade Life Cycle, Counterparty Risk & exposure, Pricing, Business efficiency modelling and process, Requirements and capability analysis / solutions and delivery, SDLC, Stakeholder Management, Testing, Testing Cycles, EOD processing scripts, Dynamic reports, New Releases, Binaries, Libraries, Vendor management, Middle Office, End Of Day, Regulations, Integration. Murex CICD methodology
Financial Products - Fixed Income, Bonds, Repos, FX, Interest Rates Derivatives, Credit Derivatives, FX Derivatives, Commodities, Equities
Technical Unix, Sql
SYSTEMS Murex, Opics, Fenics, Sophis, Sybase, Oracle, Wallstreet. Bloomberg, MarkitWire, NEO, ION
REGULATIONS MFID, MIFID II, FATCA, Volcker, Dodd Frank, Brexit, SOFR