Beschreibung
Business Analyst - Cash Management/Treasury
This is a long term contract opportunity for an experienced BA to join a Global Financial Services company. The role will involve working closely with Business Users and 3rd party providers on various Treasury based projects.
Tasks and responsibilities;
- Requirements gathering and documentation
- Review and evaluation of Treasury/Cash Management tools
- Provisioning of Software
Skills and experience required;
- Treasury business knowledge (Cash Management)
- SWIFT know-how
- IT Security knowledge
- Understanding of bank payments and transfers
- eBAM knowledge is an advantage
- English is a must
If you think that you are the ideal candidate for this position please send a copy of your CV as a Word Document and a daytime contact telephone number.
Please note that only candidates who are a close match will be contacted regarding this role.