Blue REsume
(587) 920-4003 - derivativestradingdesk@[Link]
Project Manager, Senior Business Analyst, Capital Markets, Derivatives and Treasury
United Kingdom Capital Markets, FX, Banking, Trading Front Office IT
Project Manager, Senior Business Analyst. Currently working at Daiwa Capital Markets Europe
Ltd., London,UK.
PROJECT MANAGEMENT EXPERIENCE:
Trading & Treasury system implementation, Systems migration, Front Office, middle office and
back office new initiatives, User Acceptance Testing, Writing execution and investigation of
test scripts, Regulatory reporting, Business Analysis, Process Mapping, Road-maps, RFP and
vendor management, As-is and To-be, Current state/Future state, Gap analysis, Process
Reengineering. Manage complex projects.
PRODUCT EXPERIENCE :
Currency Options, FRA, Swaps, Forwards, Loans & Deposits, Corporate, Government,
Municipal & Sovereign Bonds, Repos, Futures, Interest Rate Futures, Options, Credit Default
Swaps, Mortgage-backed Securities, FAS 133, Interest Rate Swaps, Equity & Investment
Trusts. Equity Derivatives, FX Derivatives, Money Markets, Fixed Income Derivatives,
Warrants. Capital Markets, Oil, Gas, Energy, Commodities, Fixed Income Derivatives.
Specialties
Business Analysis, Project management
Specialties
Project management, business analysis, derivatives, capital markets, fixed income, wealth
management, treasury, equities, bonds, foreign exchange, energy trading, Calypso, Murex,
Charles River, SimCorps Dimension, Wall Street Systems, Bloomberg POMS, Eagle, Sungard
and Openlink Endur ETRM
Areas of Knowledge
Industries
Financial Services, Wealth Management, Capital Markets, Mutual Fund, Fixed Income,
Equities, Commodities, Derivatives, Foreign Exchange, Emerging Markets, Trading, Futures &
Options, Banking, Government, Insurance, International Banking
Applications
Sungard, Charles River, Calypso, Wall Street Systems, Murex, Sophis, SimCorp Dimension,
FMC Bloomberg POMS, Latent Zero, Openlink FINDUR, Openlink ENDUR, Allegro,
TriplePoint, Zainet, Fidessa, ThinkFolio, IMPACT, BondEdge, Barra, BARX, Reuters FxFx,
Sungard Global One, Martini and Epsilon
Business Intelligence, Data Warehousing, Testing, ETL & OLAP tools:
Cognos Power Play, Power Play Transformer, Cognos Impromptu, Business Objects, NCR
Teradata, Brio, SQR MicroStrategy, Informatica, Smart Stream, Quality Center, Oracle, Sybase,
Hyperion and SAP.
Methodologies
CMM and CMMi, PMI/PMPBest Practices, ITIL, COBIT and RUP, UML, IBM Rational PMI,
Standard Waterfall, Agile, SDLC, BCP.
Project Management Tools Micros
MS Project
Unix, Solaris, Windows 95/NT4/2000/XP
Key Technologies
Java, JSP, EJB, ASP, XML, HTML, UML, SGML, RMI, IIOP, JMS and Visual Basic
Project Management Tools
MS Project
Project Manager, Senior Business Analyst.
PROJECT MANAGEMENT EXPERIENCE:
Trading & Treasury system implementation, Systems migration, Front Office, middle office and
back office new initiatives, User Acceptance Testing, Writing execution and investigation of
test scripts, Regulatory reporting, Business Analysis, Process Mapping, Road-maps, RFP and
vendor management, As-is and To-be, Current state/Future state, Gap analysis, Process
Reengineering. Manage complex projects.
PRODUCT EXPERIENCE :
Currency Options, FRA, Swaps, Forwards, Loans & Deposits, Corporate, Government,
Municipal & Sovereign Bonds, Repos, Futures, Interest Rate Futures, Options, Credit Default
Swaps, Mortgage-backed Securities, FAS 133, Interest Rate Swaps, Equity & Investment
Trusts. Equity Derivatives, FX Derivatives, Money Markets, Fixed Income Derivatives,
Warrants. Capital Markets, Oil, Gas, Energy, Commodities, Fixed Income Derivatives.
Specialties
Business Analysis, Project management
Specialties
Project management, business analysis, derivatives, capital markets, fixed income, wealth
management, treasury, equities, bonds, foreign exchange, energy trading, Calypso, Murex,
Charles River and Openlink Endur ETRM
Project Manager, Senior Business Analyst
Daiwa Capital Markets Europe Ltd, London
Public Company; Investment Banking industry
March 2010 - Present (1 year 7 months) London, United Kingdom
Project Manager, Operations Technology - Finance and Operations - Responsibility for
delivering a Cost of Carry 2010 project to give the bank global reports on funding costs of
Positions and trades. OTC and listed Derivatives, equities, bonds, repos, FX, barrier options,
warrants, stock borrow and lend, futures and options fees and margin.
Senior Business Analyst, Derivatives
BNP Paribas Fortis
Public Company; FORB; Banking industry
January 2009 - March 2010 (1 year 3 months) Brussels Area, Belgium
Define workflow for all oil and gas, metals, FX and FX Swaps commodity products for daily
trading.
Project Lead, Senior Business Analyst, OTC Derivatives
Fortis Bank
Investment Banking industry
March 2008 - January 2009 (11 months)
Write Detailed Business requirements documents (BRD) and assessment of current OTC
derivatives Equity Swaps, Interest Rate Derivatives, Interest Rate Swaps, Credit Default Swaps,
Foreign Exchange Swaps, Equity options, Swaptions, Foreign Exchange Options and
Equity/Index Derivatives and Structured Credit Derivatives.
Skills
Futures Commodities Treasury Systems Financial Modeling Accounting Wall Street Economic
Modeling RUP UML FX Options Bloomberg Terminal Excel Basel II MiFID FAS 133 SDLC
Calypso Charles River Murex Endur Wall Street Systems Globex CME Project Management
Financial Systems Implementation Prince 2 Derivatives Interest Rate Derivatives Equity
Derivatives Capital Markets
Requirements Gathering
Fixed Income
Front Office
Back Office
Middle Office
product Control
Business Analysis
Derivatives pricing
Bonds
Equities
SDLC
Excel
Roadmaps
RFP
Implementations
Systems Architect
Education
Chartered Institute for Securities and Investment London, UK
Certificate, Derivatives
2010 - 2011
Chartered Institute for Securities and Investment
London, UK
DePaul University
Bachelors, Financial Markets & Trading
1993 - 1996
Certificate in Financial Derivatives, London, UK 2011
UML, (Unified Modeling Language) and RUP (Rational) Development Object-oriented
development 2005
Activities and Societies: NASD Series 3
Prince II
PMI
Six Sigma Green Belt
Chartered Institute for Securities & Investment, London
Deutsche Borse Group Capital Markets Academy, London
Charles River Certificate in Compliance
Futures & Options Certificate, DePaul University, Chicago
Financial Markets Futures & Options, College of Commerce
1993 - 1994
.
Chicago Mercantile Exchange Alumni