Business Analyst – Cash Management & Intraday Liquidity

Added
22 days ago
Type
Full time
Salary
Salary not provided

Related skills

payments sql swift excel reconciliation

📋 Description

  • Business Analyst in ADA Treasury for cash management and intraday liquidity.
  • Analyse, design, and implement treasury solutions to optimise cash flows.
  • Collaborate with technology, operations, and stakeholders to deliver scalable solutions.
  • Support project milestones with timely, high-quality outcomes.
  • Drive process improvement in cash management and intraday liquidity.

🎯 Requirements

  • BA with banking/financial services experience, Treasury or Cash Mgmt preferred.
  • Strong cash management, SWIFT messaging, payments, reconciliation knowledge.
  • In-depth intraday liquidity management and regulatory awareness (BCBS 248).
  • Ability to analyse complex data sets and derive actionable insights.
  • Proficient in BA tools: process mapping, requirements, user stories.
  • Experience in Agile and/or Waterfall; stakeholder management; advanced Excel; SQL/treasury platforms.

🎁 Benefits

  • Collaborative culture with focus on diversity and inclusion.
  • Career advancement with no forced hierarchy.
  • Opportunity to work with leading banks and financial clients.
  • Global presence with 32 cities and cross-functional teams.
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