Ideally 3-5 years of experience in a SCRUM delivery model within the Banking and Financial sector
solid understanding of regulatory common reporting obligations, i.e. EMIR, Mi FID, SFTR, CFTC, Dodd Frank, etc.
cross asset class knowledge covering both Listed (ETD) and OTC products – Fixed Income (Rates and Credit), Commodity, Equity and FX – Cash/Spot and Derivatives – Options, Future and Forwards
knowledge of end-to-end Investment Management operations – Order Management, Trade Execution, Confirmation/Affirmation, Settlement, Collateral Management, Fund Accounting, etc.
technical experience with SQL, XML, Fp ML, FIXML, Git Lab, Excel, Alteryx, Power BI
inquisitive, able to challenge effectively and manage conflicting stakeholder needs
excellent written and verbal communication skills
fluent in English and Polish to support local client base
Job Type: Contract
Contract length: 12 months
We regret to inform you that this job opportunity is no longer available