10+ years of experience as a PM or SM in IT with more than 5 years in Financial Institutions (Capital Markets projects, NOT Retail or Banking side). Hands on Knowledge of Market Risk concepts and processes. Knowledge of Financial and Derivatives related Risk concepts – Credit Risk, Liquidity Risk etc.
Must Have Technical/Functional Skills:
10+ years of experience as a PM or SM in IT with more than 5 years in Financial Institutions (Capital Markets projects, NOT Retail or Banking side)
Expertise in writing user stories with good acceptance criteria in JIRA
Good understanding of ETL and Data warehouse concepts with some hands-on experience with data analysis
Expert in managing JIRA boards, Dashboards, Confluence pages, Excel reporting, and creating and tracking KPIs
Good communication and presentation skills
Highly Preferred: Hands on Knowledge of Market Risk concepts and processes
Secondary Preference: Knowledge of Financial and Derivatives related Risk concepts – Credit Risk, Liquidity Risk etc
Any Gradute