Treasury – Business Analyst
Job description
Job Responsibilities:
- Gather and document business requirements for treasury systems, focusing on tiered FX pricing and real-time FX risk management solutions.
- Collaborate with stakeholders to design processes that enhance treasury operations and align with business objectives.
- Conduct gap analysis to identify enhancements in FX pricing models and system capabilities.
- Work closely with IT and vendors to implement treasury solutions, ensuring seamless integration with T24 and other banking systems.
- Lead testing and validation of treasury functionality, creating test cases to ensure requirements are met.
- Provide hands-on support during system implementation, addressing issues and optimizing processes as needed.
- Analyze system performance post-implementation, identifying areas for continuous improvement.
- Conduct user training sessions and provide ongoing support to ensure effective adoption and usage of treasury systems.