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|Type||Temporary / Interim|
Our Client, one of the largest Investment Banks is currently looking for the ideal candidate to join their change space to support the Cash Payments Treasury Team.
Responsible for the documentation, drafting, implementation procedure standards for the Cash Management Operations team.
Ensure every document follows the standard procedures of regulations.
To execute the implementation of the firms Vision and strategic objectives.
to review and enhance the current target operating model, procedures, policies and business process models.
Cash Management is essential, to understand the processes required.
Understanding of the project life cycle. Any previous project experience is highly welcome.
Design and implement target operating models.
Strong experience in conducting business analysis.
Knowledge of FX/MM, treasury or payment products.
Experience in financial services is essential would be ideal.
Excellent written and verbal communication skills.
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