Thursday, June 25, 2009
Business Analyst/Project Manager-Treasury-Tech-NY in New York, NY
Thursday, June 25, 2009
GMAC Financial Services is a global finance company operating in and servicing North America, South America, Europe and Asia-Pacific. GMAC specializes in automotive finance, real estate finance, insurance, commercial finance and online banking. Summary: The Business Analyst/Project Manager role will oversee the development and implementation of strategy for the Treasury; including clearing and settlement of fixed income, derivative and liability/debt products as well as their associated interest payments. Additionally, this position will be ensure coordination between the front office, middle-office, back-office, Cash Operations, Finance, Risk and the Trading Product Management Group. There are 3 positions covering the following areas: -Payments & Clearing -Mortgage Securitization and Fixed Income -Securities Operations The overall scope of these roles will Include: -Technology Strategy and Implementation Coordination -Business Process Improvement -Business Process Engineering -Business Change Management -Technology Team Liaison Responsibilities: Develop and implement a Treasury Technology Strategy including business process improvements and support for the centralization and consistency across regional centers. Ensure alignment and effective communication of information between the Trading, Middle-office, Back-Office, Finance and Risk systems and users. Provide priority to our Technology partners for functionality and timing based on business value and market drivers. Coordinating with other divisions (GMACIM, Trading Product Management, and Cash Operations) within the organization to improve processes and implement and maintain a controlled Treasury Operations environment. Participate in strategic initiatives including, Treasury reorganization (front, middle and back office) as well as other projects. Coordinate with our internal and external technology partners to align internal roadmaps to vendor / product roadmaps. Overall Qualifications: 4-7 Years business analysis in banking treasury operations. experience with fixed income (repos, UST, fed funds) money market, FX, derivatives and other treasury products. experience documenting business functional requirements, workflows, and operational procedures . experience using project management techniques task management, prioritization, governance. understanding of technology budgets, planning, cost/benefit analysis, RFP/RFI processes. experience with business change management, getting buy-in, interviewing stakeholders, prioritization. Payments and Clearing (Qualifications): -4-7 years business analysis experience in payments processing -experience with SWIFT, FEDWIRE, CHIPS, ACH and other non-US payment infrastructure -experience documenting business functional requirements, workflows, and operational procedures -experience with cash management, sweeps, fed funds, overnight borrowing and lending -experience using project management techniques task management, prioritization, governance -understanding of technology budgets, planning, cost/benefit analysis, RFP/RFI processes -experience with business change management, getting buy-in, interviewing stakeholders, prioritization Mortgage Securitization and Fixed Income Business(Qualifications): -4-7 years business analysis experience in fixed income securitization -Experience with MBS, CMS, CMO, TBA securities -experience documenting business functional requirements, workflows, and operational procedures -experience using project management techniques task management, prioritization, governance -understanding of technology budgets, planning, cost/benefit analysis, RFP/RFI processes -experience with business change management, getting buy-in, interviewing stakeholders, prioritization Securities Operations (Qualifications): -4-7 years business analysis experience in securities equity and fixed income clearing, brokerage ops -Experience with DTC,, Euro-clear and other clearing-house process/procedures -Experience with cash movement, margin calls, custody, position financing -experience documenting business functional requirements, workflows, and operational procedures -experience using project management techniques task management, prioritization, governance -understanding of technology budgets, planning, cost/benefit analysis, RFP/RFI processes -experience with business change management, getting buy-in, interviewing stakeholders, prioritization Experience: 4-7 Years business analysis in banking treasury operations. experience with fixed income (repos, UST, fed funds) money market, FX, derivatives and other treasury products. experience documenting business functional requirements, workflows, and operational procedures . experience using project management techniques task management, prioritization, governance. understanding of technology budgets, planning, cost/benefit analysis, RFP/RFI processes. experience with business change management, getting buy-in, interviewing stakeholders, prioritization. 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