Description
Cash Management Business Analyst
Treasury Management Business Analyst
Market Operations Business Analyst
Middle Office Business Analyst
Cash Reconciliation Business Analyst
Cash Settlement Business Analyst
My client, a leading retail bank, are looking for a Cash Management/Treasury Management Business Analyst to work out of their London offices on a long term contract basis.
The Cash Management/Treasury Management Business Analyst will be responsible for ensuring a Cash Management operation at a tier 1 bank is effectively governed and controlled across the entire process and that the integrity of cash accounts can be relied upon.
The successful Cash Management/Treasury Management Business Analyst will have the following:
- Recent (last 4 years) cash management/Treasury experience (Business side) absolutely essential.
- Experience of cash management, market operations, Middle Office, recs, settlements within investment banking.
- Murex, Summit, Atlas, ACBS PCM or other payment systems experience desirable.
- Experience of looking at end to end cash management operations while ensuring risk and control process improvements are processed and streamlined.
- Strong analytical skills to include mental deduction/analytical/logical thinking skills.
- Practical business analysis experience including Spec Writing, Data Analysis and Prioritisation of requirements.
This is an exciting opportunity for an experienced Cash Management/Treasury Management Business Analyst to join a challenging project with extensions into 2017 expected.
If you are interested and meet the above requirements then please apply for the Cash Management/Treasury Management Business Analyst immediately.
Key words: Business Analyst, BA, Market Operations, Cash Management, Finance, Financial Markets, liquidity, liquidity management, Cash Management, Governance, Treasury, risk management, account management, analytical, MI, Excel, oracle, Atlas, Murex, ACBS, PCM.