Senior Consultant, Risk and Balance Sheet ManagementAre you curious, motivated, and forward-thinking? At FIS you'll have the opportunity to work on some of the most challenging and relevant issues in financial services and technology. Our talented people empower us, and we believe in being part of a team that is open, collaborative, entrepreneurial, passionate and above all fun.
About the role: As a Senior Consultant, Risk and Balance Sheet Management, you'll contribute to a critical component of our success. As part of the delivery team you will work closely with clients and internal teams to deliver innovative, new solutions that meet their needs and help advance the way the world pays, banks and invests. This role will ideally be Sydney based.
As a Senior Consultant, Risk and Balance Sheet Management, you will be working with major banking, insurance and finance clients providing technical guidance concerning business implications of applications and technology platforms. You will also:
Play a pivotal role in implementing FIS Balance Sheet Manager (BSM) Solution and its various modules including Asset and Liability Management (ALM), Funds Transfer Pricing (FTP), Liquidity Risk Management (LRM), Market Risk and ECL/IFRS9.Perform client requirements gathering workshops, put together statements of work (SoWs) and project plans, perform data mapping/requirements workshops, perform production configuration as per client requirements, build custom reports, guide and assist clients in performing data validation and reconciliation testing, system integration testing and UAT.Deliver training and presentations and create bespoke custom documentation to suit the client's needs.Assist pre-sales in preparing and delivering product presentations and demos to prospective clients.Manage multiple concurrent projects.Assist with training other team members.Research client needs, analysing trends and best practices and creating detailed program specifications.Devise procedures to achieve greater efficiencies and solve complex technical problems. What you will need:6 plus years' experience working in a financial institution or software solution/consulting vendor in the domain of Risk/Balance Sheet management.Excellent knowledge of risk management and financial instruments along with understanding of Asset and Liability management, Liquidity Risk Management, Funds Transfer Pricing, Market Risk and Expected Credit Loss/IFRS9.Proficiency with SQL scripting, Microsoft SQL Server Database and Analysis Services.Analytical approach to problem solving.Sound report building skills using Excel and pivot tables.Advanced knowledge of multiple end-to-end systems as well as application development.Good communication and presentation skills.Bachelor's degree in Finance, Computer Science or equivalent. What we offer you:Competitive salary.Attractive benefits.A multifaceted job with a high degree of responsibility and a broad spectrum of opportunities.A modern, international work environment and a dedicated and motivated team.
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