Overview
Seeking an experienced Product Owner with extensive experience in Capital Markets domains to understand business needs, coordinate requirements, and ensure product-based solutions align with strategic guidelines.
Key Responsibilities
- Act as Business Analyst for Capital Markets line of business within Treasury, focusing on Liquidity Management, Issuances, buybacks, derivatives, valuations, trade life cycle, accounting, and debt allocation.
- Build stakeholder consensus and ensure alignment on proposed solutions.
- Develop business cases, requirements, use cases, test plans, test strategies, test cases, and operational procedures.
- Coordinate with fiduciary reviewers and support security testing.
- Participate in the procurement of COTS solutions, including RFP preparation and cost estimates.
- Prioritize requirements and maintain scope.
- Document business processes and workflows.
- Collaborate with project teams to determine solution feasibility and meet project milestones.
- Leverage rapid prototyping to present processes and designs.
- Provide support for application design, testing, and implementation, including training material development.
- Maintain a trail of requirements and agreements, and manage the project change control process.
- Participate in the evaluation of new products and initiatives for technology support.
- Evaluate applications and IT environments, and analyze gaps.
- Propose recommendations based on industry best practices.
- Coordinate with vendors and oversee their deliverables.
- Train business users on applications.
- Uphold established processes and quality standards for Business Analysis.
- Troubleshoot systems in a post-production environment and provide solutions.
Required Experience
- At least 5 years of relevant experience with a Master's degree, or at least 7 years of relevant experience with a Bachelor's degree in the Treasury or Capital Markets domain, or an equivalent combination of education and experience.
- Practical experience in Risk management, particularly Liquidity Risk and Asset–Liability Management (ALM).
- Substantial experience in the Risk Management domain within a globally distributed enterprise.
- Demonstrated experience working as a Business Analyst, ideally in complex financial or technical environments.
- Experience developing or mentoring staff to support career development and succession planning.
Qualifications
- Master’s degree or Bachelor’s degree in the Treasury or Capital Markets domain, or an equivalent combination of education and experience.
- CFA candidate or CFA designation, or degree/certification in Risk Management.
- SAFe Product Owner / Product Manager certification.