Tech Business Analyst - ITech Consulting Partners, LLC
El Segundo, CA
About the Job
Job Title: Tech Business Analyst
Job Type: W-2 Contract
Duration: 12+ months
Location: El Segundo, CA (Hybrid - 3 to 4 days in-office per week)
Our global asset management client is seeking a Tech Business Analyst to join their Insurance Solutions Group (ISG) team. This role focuses on developing a Monthly NEIR projections model and distributing it internally within ISG/ATH. The successful candidate will play a pivotal role in transitioning from manual to automated processes, improving data quality, and reducing reliance on Treasury and Business Management resources for monthly projections.
Key Responsibilities
Automate Monthly Projections: Transition from the current quarterly manual process to an automated monthly process for NEIR projections.
Data Quality Management: Address data quality issues, implement consistent routing checks, and update golden sources of data.
Risk Reduction: Enhance the data exception framework and perform intra-day consistency checks to mitigate reputational risk.
Cross-functional Collaboration: Work closely with teams from Treasury, Business Management, and other key stakeholders to optimize the NEIR projections process.
Support and Analysis: Assist in analyzing risk for portfolios of liquid investments, focusing on global/country/sector credit cycles and projection models.
Qualifications
Education:
Bachelor’s degree in sciences, math, engineering, or economics required.
MBA, advanced degree in quantitative finance, or CFA preferred.
Experience:
8-10 years of professional or academic experience in risk management or quantitative asset allocation.
3+ years of experience at a senior level.
Deep knowledge of credit investment processes, including portfolio management, research, trading, and risk analysis.
Experience evaluating global/country/sector credit cycles at both the name and portfolio levels.
Skills
Expertise in risk, research, and analytics for projection models in investment and asset management.
Strong understanding of the inputs to the credit investment process.
Ability to evaluate and analyze risk for portfolios of liquid investments.