

Financial Business Data Analyst (Must Have Fixed Income/Trading/Mortgage Backed Securities)
β - Featured Role | Apply direct with Data Freelance Hub
This role is for a Financial Business Data Analyst with a contract length of "unknown" and a pay rate of "$XX/hour." Key skills include SQL, Excel, and Business Intelligence (MicroStrategy/Tableau). Experience in Fixed Income, Risk Management, and mortgage finance is required. A Bachelor's degree and 4-6 years of related experience are necessary; FRM or CFA certification is a plus. Location is "remote/on-site."
π - Country
United States
π± - Currency
$ USD
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π° - Day rate
-
ποΈ - Date discovered
August 20, 2025
π - Project duration
Unknown
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ποΈ - Location type
Unknown
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π - Contract type
Unknown
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π - Security clearance
Unknown
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π - Location detailed
Reston, VA
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π§ - Skills detailed
#Statistics #SQL (Structured Query Language) #Data Governance #Computer Science #Data Analysis #Tableau #Documentation #BI (Business Intelligence) #Mathematics #AWS (Amazon Web Services) #Strategy
Role description
β’ Use advanced requirements analysis and data analytics to create business process flows and algorithms that will be used in analytical or product development processes.
β’ Develop or refine computer applications that provide deeper analysis of prospective financial asset performance, asset pricing, new asset classes, or information needed to measure and hedge risk.
β’ Provide ongoing analysis of new financial asset classes and suggest program modifications as necessary.
β’ May test applications for accuracy and functionality before putting them into service.
β’ Lead periodical execution for various derivatives valuation, analytics and modeling tasks owned by the team
β’ Establish and maintain well-managed processes; document processes and controls to support internal and external reviews or exams
β’ Develop solid knowledge of our Fannie Maeβs portfolios and underlying risk drivers and communicate effectively to the management and downstream users. Prepare and communicate results to the senior management and related committees
β’ Experience of working on any Data Governance and Management industry solution is preferred.
β’ Provide data governance support to the enterprise data team, and Data Owners and Data Stewards in the business, including recognizing issues and recommend solution alternatives.
THE IMPACT YOU WILL MAKE
β’ Confer with product managers, business unit management and capital markets staff to determine analytical or product-related needs regarding product features, investment instruments, market activity, or complex transactions to be analyzed.
β’ Report in quantitative manner on data attributes and parameters of proposed purchase, sale, market transactions, or risk factors and the degree to which they could affect outcomes.
β’ Perform ad hoc analyses as needed and assist managers of specific product lines with analytical, valuation, or pricing projects.
β’ Redefine and implement the components of new risk indicators. Consult with the business owners, design and implement an interface to record key indicators, research industry best practices of analyzing and reporting key performance indicators.
β’ Design test cases and test applications for systems used for a variety of analytical, pricing, risk management or credit pricing to ensure the business needs are met and analytics are correctly implemented.
THE EXPERIENCE YOU BRING TO THE TEAM
Minimum Required Experiences
β’ 4 years Bachelor's Degree in Computer Science, Information Systems, Finance, Business, Mathematics, Statistics, or related Desired Experience and Skills
β’ 4-6 years of related experience
β’ Experience with requirements analysis and documentation
β’ Exposure to relational and dimensional data model concepts
β’ Technical skills: Data analysis using SQL, Excel, Business Intelligence Reporting using MicroStrategy/Tableau
β’ Excellent communication skills (written and verbal)
β’ Strong collaboration and organizational skills
β’ Experience with business process re-engineering and/or continuous process improvement preferred
β’ Experience with Fixed Income Instruments, Risk Management, System & Data Analysis, preferred
β’ Subject matter expertise in mortgage finance, fixed Income analysis and risk management, mortgage instruments (MBS, Loan, CMO) data, hedging principles and hedging instruments using swap and swaptions, preferred
β’ Experience working in AWS environment is a plus
β’ FRM or CFA Certification is a plus
β’ Use advanced requirements analysis and data analytics to create business process flows and algorithms that will be used in analytical or product development processes.
β’ Develop or refine computer applications that provide deeper analysis of prospective financial asset performance, asset pricing, new asset classes, or information needed to measure and hedge risk.
β’ Provide ongoing analysis of new financial asset classes and suggest program modifications as necessary.
β’ May test applications for accuracy and functionality before putting them into service.
β’ Lead periodical execution for various derivatives valuation, analytics and modeling tasks owned by the team
β’ Establish and maintain well-managed processes; document processes and controls to support internal and external reviews or exams
β’ Develop solid knowledge of our Fannie Maeβs portfolios and underlying risk drivers and communicate effectively to the management and downstream users. Prepare and communicate results to the senior management and related committees
β’ Experience of working on any Data Governance and Management industry solution is preferred.
β’ Provide data governance support to the enterprise data team, and Data Owners and Data Stewards in the business, including recognizing issues and recommend solution alternatives.
THE IMPACT YOU WILL MAKE
β’ Confer with product managers, business unit management and capital markets staff to determine analytical or product-related needs regarding product features, investment instruments, market activity, or complex transactions to be analyzed.
β’ Report in quantitative manner on data attributes and parameters of proposed purchase, sale, market transactions, or risk factors and the degree to which they could affect outcomes.
β’ Perform ad hoc analyses as needed and assist managers of specific product lines with analytical, valuation, or pricing projects.
β’ Redefine and implement the components of new risk indicators. Consult with the business owners, design and implement an interface to record key indicators, research industry best practices of analyzing and reporting key performance indicators.
β’ Design test cases and test applications for systems used for a variety of analytical, pricing, risk management or credit pricing to ensure the business needs are met and analytics are correctly implemented.
THE EXPERIENCE YOU BRING TO THE TEAM
Minimum Required Experiences
β’ 4 years Bachelor's Degree in Computer Science, Information Systems, Finance, Business, Mathematics, Statistics, or related Desired Experience and Skills
β’ 4-6 years of related experience
β’ Experience with requirements analysis and documentation
β’ Exposure to relational and dimensional data model concepts
β’ Technical skills: Data analysis using SQL, Excel, Business Intelligence Reporting using MicroStrategy/Tableau
β’ Excellent communication skills (written and verbal)
β’ Strong collaboration and organizational skills
β’ Experience with business process re-engineering and/or continuous process improvement preferred
β’ Experience with Fixed Income Instruments, Risk Management, System & Data Analysis, preferred
β’ Subject matter expertise in mortgage finance, fixed Income analysis and risk management, mortgage instruments (MBS, Loan, CMO) data, hedging principles and hedging instruments using swap and swaptions, preferred
β’ Experience working in AWS environment is a plus
β’ FRM or CFA Certification is a plus