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Job Details

Millennium logo
Hedge Funds

Business Analyst / Project Manager - Equity Volatility

at Millennium

ExperiencedNo visa sponsorship

Posted 17 days ago

No clicks

Millennium seeks an experienced Business Analyst / Project Manager to support its rapidly growing Equities Volatility business by delivering proprietary tools for research, backtesting and risk management. The role involves gathering and synthesizing requirements from investment teams, documenting BRDs/FRDs, managing JIRA tickets and project plans, and coordinating development, testing and releases. You will produce user guides, maintain product roadmaps, and drive analysis to adapt global systems for Asia market nuances while working closely with traders, risk managers and business stakeholders.

Compensation
Not specified

Currency: Not specified

City
Not specified
Country
Not specified

Full Job Description

Business Analyst / Project Manager - Equity Volatility

Millennium continues to invest in the buildout of proprietary tools and services in support of our Equities Volatility business, which has experienced explosive growth over the last 3-5 years. In this role you will be an integral part of the team that delivers tools for the business, allowing Portfolio Managers et. al to perform research, backtest strategies and risk manage an equities derivatives portfolio.

Principal Responsibilities:

As the EQ Vol BA/PM, you will be responsible for:

  • Working with the business to gather & synthesize requirements across both investment teams and core business asks
  • Analyzing upstream/downstream data dependencies and creating the necessary BRD/FRD, JIRA and project plans
  • Managing day to day project deliverables; highlight, escalate and resolve issues, conflicts and roadblocks
  • Creating user guides and other documentation that will be used to on-board new users to the platform
  • Creating & maintaining product roadmaps and other project artifacts required to manage stakeholder expectations
  • Co-ordinate/track development tasks, testing and verify releases to ensure user requirements are being met
  • Drive analysis to adopt /enhance global systems for Asia market nuances

Required Skills:

  • Subject matter expertise in Equities Derivatives; working knowledge of Equities Derivatives market data, pricing and risk management methodologies
  • Hands-on BA/PM experience working on proprietary derivatives pricing, analytics and risk management systems, working closely with traders, risk managers and business heads
  • High level understanding of Asia Equities Options markets and requirements around listed options execution infrastructure.
  • Good communication and interpersonal skills, excellent written documentation skills
  • Ability to work in a fast paced, demanding environment

Qualifications:

  • 6+ years experience in relevant BA/PM role
  • Experience working in scrum environment, working knowledge of JIRA
  • Development background or CFA a plus
  • Basic understanding of python and ability to read java code to extract what is developed

Job Details

Millennium logo
Hedge Funds

17 days ago

clicks

Business Analyst / Project Manager - Equity Volatility

at Millennium

ExperiencedNo visa sponsorship

Not specified

Currency not set

City: Not specified

Country: Not specified

Millennium seeks an experienced Business Analyst / Project Manager to support its rapidly growing Equities Volatility business by delivering proprietary tools for research, backtesting and risk management. The role involves gathering and synthesizing requirements from investment teams, documenting BRDs/FRDs, managing JIRA tickets and project plans, and coordinating development, testing and releases. You will produce user guides, maintain product roadmaps, and drive analysis to adapt global systems for Asia market nuances while working closely with traders, risk managers and business stakeholders.

Full Job Description

Business Analyst / Project Manager - Equity Volatility

Millennium continues to invest in the buildout of proprietary tools and services in support of our Equities Volatility business, which has experienced explosive growth over the last 3-5 years. In this role you will be an integral part of the team that delivers tools for the business, allowing Portfolio Managers et. al to perform research, backtest strategies and risk manage an equities derivatives portfolio.

Principal Responsibilities:

As the EQ Vol BA/PM, you will be responsible for:

  • Working with the business to gather & synthesize requirements across both investment teams and core business asks
  • Analyzing upstream/downstream data dependencies and creating the necessary BRD/FRD, JIRA and project plans
  • Managing day to day project deliverables; highlight, escalate and resolve issues, conflicts and roadblocks
  • Creating user guides and other documentation that will be used to on-board new users to the platform
  • Creating & maintaining product roadmaps and other project artifacts required to manage stakeholder expectations
  • Co-ordinate/track development tasks, testing and verify releases to ensure user requirements are being met
  • Drive analysis to adopt /enhance global systems for Asia market nuances

Required Skills:

  • Subject matter expertise in Equities Derivatives; working knowledge of Equities Derivatives market data, pricing and risk management methodologies
  • Hands-on BA/PM experience working on proprietary derivatives pricing, analytics and risk management systems, working closely with traders, risk managers and business heads
  • High level understanding of Asia Equities Options markets and requirements around listed options execution infrastructure.
  • Good communication and interpersonal skills, excellent written documentation skills
  • Ability to work in a fast paced, demanding environment

Qualifications:

  • 6+ years experience in relevant BA/PM role
  • Experience working in scrum environment, working knowledge of JIRA
  • Development background or CFA a plus
  • Basic understanding of python and ability to read java code to extract what is developed