Business Analyst (Cash/Liquidity Management) - London/Hybrid
Posted 1 week ago by We Are Orbis Group Ltd
Negotiable
Inside
Hybrid
London/Hybrid
Summary: The Business Analyst role focuses on Cash and Liquidity Management within the Transaction Services Team, specifically targeting the Cash Management and Intraday Liquidity Management platform. The position involves collaborating with global teams to enhance trade flow life cycle projects and optimize cash management strategies. The role requires extensive experience in business analysis, particularly in financial products and technology projects. This is a 6-month contract position based in London with hybrid working arrangements.
Key Responsibilities:
- Performing Business Analysis activities working as part of a global team on front to back trade flow life cycle projects and mandatory deliverables for the Cash Management platform
- Responsibility for delivering strategic changes to implement and optimize Cash and Liquidity management and enable business users to effectively manage funding requirements
- Gathering, agreeing and documenting requirements with Business and Technology stakeholders to produce Business Requirements Documents and Functional Specification Documents
Key Skills:
- 5+ years of experience as a Business Analyst with proven delivery track record working on business and technology projects
- Mandatory knowledge of Financial Products especially Cash products covering front to back Trade Lifecycle, Operations/Settlements processes, Cash Management and Nostro transfers
- Experience working with FPML/XML messaging protocols
Salary (Rate): undetermined
City: London
Country: United Kingdom
Working Arrangements: hybrid
IR35 Status: inside IR35
Seniority Level: undetermined
Industry: Other
Business Analyst (Cash/Liquidity Management) - London/Hybrid - 6 month contract + extensions
The selected person would be a part of Transaction Services Team - Wholesale Data Services & Operations Technology focusing on the Cash Management and Intraday Liquidity Management platform.
The roles and responsibilities are as follows:
-
Performing Business Analysis activities working as part of a global team on front to back trade flow life cycle projects and mandatory deliverables for the Cash Management platform
-
Responsibility for delivering strategic changes to implement and optimize Cash and Liquidity management and enable business users to effectively manage funding requirements
-
Gathering, agreeing and documenting requirements with Business and Technology stakeholders to produce Business Requirements Documents and Functional Specification Documents
Mandatory Skills:
-
5+ years of experience as a Business Analyst with proven delivery track record working on business and technology projects
-
Mandatory knowledge of Financial Products especially Cash products covering front to back Trade Lifecycle, Operations/Settlements processes, Cash Management and Nostro transfers
-
Experience working with FPML/XML messaging protocols
Details:
6 month contract
London Hybrid
Rates are open and Dependent on experience