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Senior Business Analyst - Treasury & Portfolio Finance

Innocap
Posted a month ago, valid for 17 days
Location

New York, NY 10008, US

Salary

$90,000 - $108,000 per year

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Contract type

Full Time

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Sonic Summary

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  • Innocap is seeking a Senior Business Analyst to serve as a liaison between business and technical teams, focusing on Treasury Fund Operations and Portfolio Finance functions.
  • The ideal candidate should have at least 5 years of experience as a Business Analyst, with a minimum of 3 years in a technology role within hedge funds or financial institutions.
  • Candidates must possess a Bachelor's or Master's Degree in relevant fields and demonstrate strong skills in Jira, Excel, SQL, and data visualization tools.
  • The position offers the opportunity to work on innovative projects within a diverse and inclusive environment, emphasizing collaboration and growth.
  • Salary details are not specified, but the role is hybrid and emphasizes the importance of strong project management and communication skills.

ABOUT INNOCAP

Innocap is the world’s leading firm of managed account platform services. With over US$100 billion in assets under management, over 500 employees and offices in five countries, we are shaping the future of alternative investments for institutional owners and allocators. Our mission is to revolutionize the asset management industry and to provide customized expert services and an exceptional client experience.

We are seeking forward-thinking individuals to join us on our exciting journey. Innocap’s success is built on the diversity of our people and the strength of their ambitions. We empower our teams and foster a culture of inclusivity, collaboration, innovation, and growth. At Innocap, you'll have the opportunity to enhance your career, work on exciting projects, and make a real impact.

ABOUT THE ROLE 

As a Senior Business Analyst reporting to the Global Head of Product Development, you will act as a key liaison between business and technical teams, translating business needs into actionable requirements and managing project workflows, mainly for our Treasury Fund Operations and Portfolio Finance functions. The role involves stakeholder collaboration, process analysis, and data-driven insights in financial services and hedge fund operations.


Your primary responsibilities will be to:

  • Collaborate with stakeholders, product owners, and development teams to gather and document business requirements.

  • Serve as a liaison between business units and IT teams to ensure alignment and successful project delivery.

  • Translate business needs into detailed user stories, epics, and acceptance criteria in Jira.

  • Maintain and manage Jira boards, workflows, and dashboards to support agile project tracking.

  • Understand current business processes and contribute to designing, building, and monitoring improvements for a new product suite.

  • Work closely with Quality Assurance and development teams to ensure requirements are clearly understood and implemented correctly.

  • Demonstrate strong stakeholder management skills with the ability to translate business requests into technical specifications and to challenge and refine requests when appropriate.

PRIMARY SKILLS AND QUALIFICATIONS 

  • Bachelor’s or Master’s Degree in Business, Finance, Computer Science, Information Systems, or related fields. 

  • Strong experience using Jira in Agile/Scrum environments, with proficiency in drafting user stories, process flows, and functional specifications. 

  • Good knowledge of Excel, SQL, and data visualization tools such as Power BI and Tableau, with a proven ability to analyzedata using dashboards and reports. 

  • At least 5 years of experience as a Business Analyst, including 3+ years within the technology function of a hedge fund, fund administrator, prime broker, or financial institution in their capital markets division (treasury and/or portfolio finance teams).

  • Excellent project management and communication skills, with the ability to clearly articulate and present information to stakeholders. 

  • Analytical, detail-oriented, and resourceful, with a proven ability to stay organized and manage tasks efficiently. 

  • Knowledge of middle-office hedge fund processes such as reconciliation, Treasury, NAV calculation, and margin calculation.

  • Experience in application development related to alternative investments Treasury or the Trade Life Cycle within financial services, ideally in the hedge fund space, is considered an asset. 

  • Certifications such as CFA, FRM, PMP, or CSPO are considered assets.  

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