• ideally 2-4 years of experience in a SCRUM delivery model within the financial sector • solid understanding of regulatory common reporting obligations, i.e. EMIR, MiFID, SFTR, CFTC, Dodd Frank, etc. • cross asset class knowledge covering both Listed (ETD) and OTC products – Fixed Income (Rates and Credit), Commodity, Equity and FX – Cash/Spot and Derivatives – Options, Future and Forwards • knowledge of end-to-end Investment Management operations – Order Management, Trade Execution, Confirmation/Affirmation, Settlement, Collateral Management, Fund Accounting, etc. ó • any technical experience with SQL, XML, FpML, FIXML, GitLab, Excel, Alteryx, PowerBI would be beneficial • inquisitive, able to challenge effectively and manage conflicting stakeholder needs • excellent written and verbal communication skills • fluent in English and Polish to support local client base |