
Dipl.-Ing. Mikhail Gurov
Werdegang
Berufserfahrung von Mikhail Gurov
- Bis heute 7 Jahre und 4 Monate, seit März 2018
Investment Risk Business Analyst (contractor, 1 extension)
Old Mutual Investor Services
- Combined BA and PM role during the separation of two entities - Led business analysis and project managed the implementation of Bloomberg PORT based risk management system for Quilter Investors. Assisted with migrating Qlikview reports as part of this project - Led business analysis, testing and project managed decommissioning of old fund holdings Risk system and feeding EQ and FI risk factors into new system from Bloomberg PORT.
- 1 Jahr und 11 Monate, Feb. 2016 - Dez. 2017
Front End Business Analyst (contractor, 3 extensions)
BNP Paribas Gruppe International
- Produced business, functional requirements and user acceptance test cases for Volcker and FBL Regulatory Reporting UI Dashboard project (similar to Digital), collaborating with multiple stakeholders (including Front office, Risk, Operations, Compliance and Finance) - Produced business, functional requirements and user test cases for the front end part of PVA (one of xVAs) project. The project was successfully delivered within the estimated timeframe and budget
- 10 Monate, Apr. 2015 - Jan. 2016
Senior Business Analyst
Barclays Investment Bank
- Organized Jira process and led daily meetings with DEV offshore teams and business users for Equity Derivatives onboarding into cross asset Big Data platform (Cloudera+Actian+XLCube) - Assisted with clarifying the scope and technical requirements for BCBS239 for Equity Derivatives onboarding part - Mentored and trained a number of junior team members - Performed extensive testing of new cross asset Risk IT system (Equities, FX, FI, commodities) and supported DEV team in an Agile Scrum environment
- 4 Jahre und 5 Monate, Dez. 2010 - Apr. 2015
(Agile) Business Systems Business Analyst
RBC Capital Markets
- Gathered business requirements for multiple data feeds from FO systems (Fidessa, Anvil, Sophis, Murex, RATS FX, ELTA) into golden source market and credit risk management data system, translated them into technical feed specifications (Confluence), produced user stories (Jira) and acceptance criteria (TDD), supported projects’ implementation, obtained business acceptance and post-live enhancements - Collaborated with risk managers to continuously enhance the reports to improve end-user experience
Ausbildung von Mikhail Gurov
- 2 Jahre, Sep. 2004 - Aug. 2006
Applied Mathematics
TU Delft
statistics, financial mathematics, expert judgement
Sprachen
Englisch
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Russisch
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Niederländisch
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