Beschreibung
Treasury Business Analyst - immediate start!
Keywords: treasury, commodity, FX, IR, MM, cash management
Our client is an international consultancy focusing on the financial services sector. The assignment is onsite their Tier1 commodity client in Geneva.
We are looking for a contractor/consultant with excellent understanding of treasury systems with implementation experience.
The start date is immediately and latest on 23.10.15
Contract - length: 3 months (extension possible)
Location: Geneva
Tasks
- Requirements gathering and documentation for a new Treasury System
- Monitoring of the front-to-back implementation of new solution
- Incident management and handling of integration issues
- Communicating changes
- Definition of processes
- Ad-hoc tasks
Requirements
- Deep understanding of treasury processes and needs
- Experience in the commodities sector
- Several years' experience in a similar position
- Experience in using and implementing treasury systems
- Understanding of processes and good technical skills
- Very good knowledge of FX, IR, MM and Cash Management
- Good understanding of financial aspects of the treasury life cycle
- Proactive, resilient and reliable personality
- Fluency in English (written & spoken)
This is a fantastic contract opportunity to join a leading financial firm, working within an exciting and fast paced environment.
I am looking forward to receiving your CV.
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