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Projects & Initiatives - Cash Management

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Daily Rate Competitive
Type Temporary / Interim
Location London
Sector Operations
Job Reference T91/DXN/28821
Contact Diana Nit
Date posted 11-05-2018

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.

Main responsibilities:

• 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.

Key requirements:

• 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.
• Problem solver.

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Contact Diana about this job

AVP, Consultant