Business Analyst – Fixed Income & Derivatives (Capital Markets)
About the role
Job Title: Business Analyst – Fixed Income & Derivatives (Capital Markets) Location: Mississauga, Canada (Onsite) Employment Type: Fulltime
About Smart IT Frame: At Smart IT Frame, we connect top talent with leading organizations across the USA. With over a decade of staffing excellence, we specialize in IT, healthcare, and professional roles, empowering both clients and candidates to grow together.
Role overview: We are seeking an experienced 8-12 years of Business Analyst with strong Fixed Income and Derivatives domain expertise to support trade processing risk management and fronttoback trading systems The role requires a blend of business analysis quantitative skills and stakeholder management with responsibility for delivering medium to largescale initiatives in a global banking environment
Required Skills Expertise: Strong Fixed Income derivatives knowledge from a Front Office perspective Proven experience in Trade Processing and Risk Management systems Ability to manually calculate PL and explain risk concepts Strong analytical and quantitative mindset with comfort in numberdriven analysis Working knowledge of Fixed Income FX and Money Market products Excellent communication and stakeholder management skills Ability to work effectively with technical and nontechnical teams including remote colleagues
Mandatory Skills: Capital Markets (incl. Derivatives)
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Business Analyst – Fixed Income & Derivatives (Capital Markets)
About the role
Job Title: Business Analyst – Fixed Income & Derivatives (Capital Markets) Location: Mississauga, Canada (Onsite) Employment Type: Fulltime
About Smart IT Frame: At Smart IT Frame, we connect top talent with leading organizations across the USA. With over a decade of staffing excellence, we specialize in IT, healthcare, and professional roles, empowering both clients and candidates to grow together.
Role overview: We are seeking an experienced 8-12 years of Business Analyst with strong Fixed Income and Derivatives domain expertise to support trade processing risk management and fronttoback trading systems The role requires a blend of business analysis quantitative skills and stakeholder management with responsibility for delivering medium to largescale initiatives in a global banking environment
Required Skills Expertise: Strong Fixed Income derivatives knowledge from a Front Office perspective Proven experience in Trade Processing and Risk Management systems Ability to manually calculate PL and explain risk concepts Strong analytical and quantitative mindset with comfort in numberdriven analysis Working knowledge of Fixed Income FX and Money Market products Excellent communication and stakeholder management skills Ability to work effectively with technical and nontechnical teams including remote colleagues
Mandatory Skills: Capital Markets (incl. Derivatives)