6 years of experience must include: Data Analysis and Modeling for large data sets with scalable applications, using SQL and MS Excel; Financial Regulations (MiFID II, Dodd-Frank, FATCA/CRS, Basel III/IV) and their specific requirements for securities reference data; Regulatory Reporting: data elements and formats required for various regulatory reports related to financial instruments; Systems development, Integration and Implementation experience of Securities Master Central components; Technical and non-technical application interface requirements' definition, including message/data formats, frequency, delivery, etc. Requirements: Requires a Bachelor's (3 or 4 year) degree, or foreign equivalent, in Information Technology, Computer Applications, Business Analytics or related field and 6 years of experience as a Data Analyst, Senior Business Analyst, Senior Product Manager, Lead Consultant or related position involving Financial instruments across multiple asset-classes and their characteristics in reference data applications including Equities, Fixed Income, Exchange-listed and Over-the-Counter derivatives.