Brahim Tahiri
Senior Business Analyst
Metz, Moselle, France Disponibilité
16+
Expérience
10
Missions
3
Certifications
À propos
With 16 years of experience as a Business Analyst in the financial sector, I also have a strong operational background, linked to financial markets. My area of expertise covers the entire project analysis lifecycle: requirements gathering, business process modeling (BPMN), functional specifications writing, management of testing phases.
Compétences
Expérience
BUSINESS ANALYST
ING Luxembourg
sept. 2024 — août 2025 · 1 an
In the frame of the Grid as a Master project (GAAM) which aims to migrate the KYC database mastering from the Luxembourg platform named Portail to the central group tool (Vantage/GRID) I have participated to the data scoping and mandatory fields identifications, the mapping between systems and the synchronization of KYC data ●Data scoping and gap analysis assessment ●Data mapping ●Data synchronization modeling ● Organisation and conducting of Business and IT workshops ●Functional specification writing ● Test cases definition and processing ● ETL methodology
KYCVantage/GRIDPortailOnePMConfluenceSQL Power BI
BUSINESS ANALYST
Clearstream Luxembourg
avr. 2019 — août 2024 · 5 ans 5 mois
n the frame of the Regulatory Reports recasts (creations/modifications) in the CSD regulation context (CSDR) and the user functionalities evolutions on Clearstream’s internal applications, testing management to validate the developed and implemented Business change requests specifications, (Functional Analyst level) ●Change request management (analysis, test strategy definition) ●Test case writing (ALM system) ●Functional Analyst test ruling (System test /Business Acceptance test cycles ruling) ●Discrepancies management (issues identification and analysis, logs on JIRA system, issue solving follow up with IT), User guides writing and support for the Business.
AMRTS (ImportInputRefData)NCCIPRDFEMC2ALMJIRASQL
BUSINESS ANALYST
BP2S Luxembourg
mars 2018 — janv. 2019 · 11 mois
In the framework of the Entreprise Data Management project (EDM) which aims to overhaul the referential databases for the TA/FA needs, with a standardized and centralized model, I managed the analysis stage. ●ASIS analysis ●BPMN processing ●Functional specifications writing. In the framework of the CSDR regulation implementation (notably the reportings listing the transactions settled outside a CSD perimeter) I owned the management of the referential data to provide for BP2S entities in Europe. Data analysis ●Data flows modeling ●Specifications writing ●IT developpments follow-up.
TA/FAMultifondsTradeFlowsValinfoColibriBloombergReutersHiportfolioVisioMuseCSDR
BUSINESS ANALYST
SGBT Luxembourg
avr. 2016 — déc. 2017 · 1 an 9 mois
In the regulatory framework linked to the liquidity reportings production (LCR/NSFR) participation to the launched project by Société Générale Paris to set up new reportings data to a daily frequency (Information system adjustments, mapping). ●ASIS analysis ●Data mapping ● Functional specification writing ●Tests strategy definition ●Tests case writing/tests ruling As part of the SIGMA TA/FA management tool I participated to the Execution Risk project which aims to provide data reportings from SIGMA for the Risk Departement (FRM). In order to assess the default risk in payment/delivery. ●Workshops organisation ●Expression of needs gathering ●Functional specifications writing●Definition/Writing tests cases ●Tests ruling
Liquidity riskContreparties riskBâle IIICRD IVfundsT/AAGILITYSwiftSigmaPalmBCRSQLJIRA
BUSINESS ANALYST
BIL
déc. 2015 — mars 2016 · 4 mois
Participation to the regulatory project to set up the application of the IFRS9 standard within the BIL institution. And in the framework of a credit tool integration, I held the analysis of the forbereance module. Workshops organisation ●Expression of needs gathering ● Business Process flow modeling BPMN ●Specifications writing
IFRS9ForbearanceBloombergKondor+BLSVisio
BUSINESS ANALYST
BNP Paribas Paris
févr. 2012 — oct. 2014 · 2 ans 9 mois
MIRO is a risk tool developed by BNP Paribas Group, dedicated to the impairment processing on doubtful debt. My charge was to manage the evolutions on the application, provide a support service to the worldwide MIRO users and training for the new users. ●Expression of needs gathering ●Functional specification writing BPMN processing ●Test cases definition/writing ●Tests ruling/follow-up ●Users support phone/@ ●Production issues management ●Training organisation/sessions ruling for the new users (Madrid, Londres, Luxembourg, Genève, Paris)
Risk managementreportingsSCRUM methodologyExcel VBAPower PointSQLHPQCMIROMS Visio
BUSINESS ANALYST
State Street Bank Paris
janv. 2011 — déc. 2011 · 1 an
As part of the activity dedicated to the services outsourcing, State Street has set up a plateform designed to the management of OTC products (OTC HUB). From this perspective, I managed the implementation of derivative instruments in this environment, for the clients Investec and SWIP AM. Expression of needs gathering ●Business processes modeling ●Functional specifications writing ●IT Developments follow-up ● Tests cases definition/writing/follow-up● Data migration driving
OTCderivativesExcel VBAPower PointSWIFTOTC HUBSQLMS ProjectMS Visio
BUSINESS ANALYST
AXA IM Paris
mars 2010 — déc. 2010 · 10 mois
As part of a new cash forecast tool implementation (from Decalog Query Cash Balance to MSS Cash Tool), I participated to the change management support for the Funds Managers team. ●Training support creation●Training sessions ruling ●Expression of needs gathering ●Functional specification writing● Tests cases definition/writing/follow-up ● Data migration driving
FundsExcel VBAPower PointDecalogMss cash toolSQLMS Visio
TREASURY MANAGER
SGAM Banque
juin 2006 — mars 2010 · 3 ans 10 mois
My role was to handle the treasury management in a reactive and optimal way in a funds industry context. Improvement of the business processes for cash payments/receipts. The tasks have been partly realized during a merger between SGAM Finance and Barep (to lead to the creation of SGAM Banque) Treasury positions reports production●Intraday bank balances matching control●Weekly statistics reports production (based on KTP and SAP sources)● Business process flows modeling (Merger project)
Money MarketREPOLending/Borrowing cash/securitiesForexSwapsFuturesOPCVMSAP ECCKondor Trade ProcessingBloombergReutersSWIFTBankrecDreamsMS Visio
TREASURY MANAGER
Attijariwafa Bank Paris
janv. 2003 — juin 2006 · 3 ans 6 mois
My task was to process the cash management at the Front office level, mainly linked to the Trade Finance activity. Optimization and management of the treasury hedging by operating the transactions coverage on the money market/Forex. Manage the rate risks (derivative products) Treasury positions management via SAP (Cash Management component) ● Lending/Borrowing transactions negociations on money market (Financial transactions processing and Business Partners configuration on SAP TRM module) ● Rate risk management (IRS/FRA customizing on SAP TRM module) ●Financing strategy definition
Money MarketSwapsReutersSAP ECCSWIFTKondorReuters dealing.
Formation
DESS Finance et Fiscalité Internationales
ESA LILLE II
2000 — 2001
Certifications
Agile Business Analyst
ALTRAN Education Service · Obtenu en 2014
ISTQB
Udemy · Obtenu en 2024
ITIL 4 Foundation
Udemy · Obtenu en 2025