The Business Analyst (BA) for Treasury will be responsible for analyzing, documenting, and improving business processes related to cash management, liquidity management, and financial risk management within the treasury function. The role involves working closely with finance teams to understand their requirements, designing solutions to streamline treasury operations, and ensuring compliance with financial regulations. The BA will also work with IT teams to translate business requirements into functional specifications for system development. The ideal candidate will have experience in the treasury domain, including familiarity with cash management systems, financial reporting, and regulatory compliance. Strong analytical, communication, and problem-solving skills are essential, along with experience in Agile environments.
Lorem ipsum dolor sit amet, consectetur adipiscing elit.