A financial firm is seeking a Project Manager with Market and Credit Risk experience to join their team in Charlotte, NC. This role involves coordinating and managing a portfolio of projects, leading them from initial discovery to final implementation, and supporting program and business strategies. The manager will work closely with business users, QA, and development teams, focusing on analytical problem-solving, process improvement, documentation, and managing key senior meetings.
Good To Have:- Working experience with Market/Credit Risk regulations like LIBOR Transition, What-if Analysis, CCR, Market/Credit Risk Feeds, Stress Testing, Reporting.
- Experience managing 3rd party vendors on licensing and professional services for new platform implementation.
- Knowledge of financial operations, planning, controls management, MIS, data management, and reporting processes related to commercial investment banks.
Must Have:- Coordinate and manage project portfolio.
- Lead projects from discovery to implementation.
- Support program and business strategies.
- Manage senior meetings and action items.
- Work with Business Users on requirements.
- Collaborate with QA and Development teams.
- Master complex tasks with minimal supervision.
- Strong analytical and problem-solving skills.
- Conduct root cause analysis and provide solutions.
- Analyze business processes and recommend improvements.
- Translate business needs into IT requirements.
- Create project and business process documentation.
- Conduct gap analysis.
- Proficiency in Jira, Visio, PowerPoint, Excel, SQL.
- Self-starter with multi-tasking ability.
- Strong accountability and follow-through.
- Prioritize multiple tasks and projects effectively.
- Understand and explain complex technical concepts.
- Knowledge of Waterfall and Agile frameworks.
- Manage project budget and resources.
- Strong relationship management and collaboration.
- Excellent verbal and written communication.