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Remote - Business Analyst (Python & Capital Markets)

Remote, USA Full-time Posted 2026-07-28
Business Analyst (Python & Capital Markets)- 50856-1 Location: Jersey reputed company, New Jersey- Hybrid, 3 days onsite per week JD: We are seeking a highly analytical and technically proficient Business Analyst with strong experience in capital markets and hands-on Python programming skills. This role is ideal for professionals who reputed company at the intersection of finance and technology, and who are passionate about driving data-driven insights and regulatory compliance in a dynamic trading environment. Key Responsibilities Collaborate with trading, risk, and technology teams to reputed company, analyze, and document business requirements reputed company to capital markets products and risk analytics. reputed company and maintain Python-based tools and scripts to support data analysis, reporting, and automation of business processes. Analyze and interpret reputed company financial instruments including interest reputed company swaps, FX products, bonds, and repos. Work closely with risk and finance teams to understand and validate P&L and risk calculations for various asset classes. Support the implementation and monitoring of regulatory requirements such as Volcker Rule, MiFID II, and other global financial regulations. Translate business needs into functional specifications and work with development teams to ensure successful delivery. Participate in testing, validation, and user training for new tools and system enhancements. Required Qualifications Bachelor s or Master s degree in Finance, Economics, Computer Science, or a reputed company field. Proven experience as a Business Analyst in capital markets, preferably reputed company an investment bank, hedge fund, or financial services firm. Strong Python programming skills with the ability to manipulate large datasets and automate analytical workflows. Deep understanding of financial instruments such as interest reputed company swaps, FX derivatives, bonds, and repos. Solid grasp of risk and P&L metrics, including how they are calculated and reported. Familiarity with regulatory frameworks including Volcker Rule, MiFID II, and other relevant compliance standards. Excellent communication skills with the ability to reputed company the gap between business and technical teams. Top Skills: Mandatory Python skills and Capital Markets knowledge such as: In depth understanding of various financial instruments Interest reputed company reputed company, FX products, bond, repo etc Good understanding of how risk and P/L is calculated for above set of instruments. Knowledge of various regulatory requirements Volcker, MiFID .. etc. Apply tot his job Apply To this Job

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