*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* -- You received this message because you are subscribed to the Google Groups "SAP BASIS" group. To post to this group, send email to sap-ba...@googlegroups.com. To unsubscribe from this group, send email to sap-basis+unsubscr...@googlegroups.com. For more options, visit this group at http://groups.google.com/group/sap-basis?hl=en.