Join Capco as a Business Analyst in Cash Management & Intraday Liquidity to analyze, design, and implement solutions that enhance treasury operations. Collaborate with technology and business stakeholders to deliver robust and scalable solutions.
Requirements
- Elicit, analyze, and document business requirements related to cash management and intraday liquidity processes
- Map and optimize end-to-end cash flow processes, identifying opportunities for automation and efficiency gains
- Support the design, testing, and implementation of treasury systems and tools
- Conduct gap analysis and impact assessments for proposed changes
- Facilitate workshops and meetings with stakeholders across Treasury, Finance, Operations, and Technology
- Develop and maintain process documentation, user guides, and training materials
- Monitor industry trends and regulatory developments in cash management and liquidity
- Support the delivery of project milestones
Benefits
- Opportunity to work on engaging projects with international and local banks, insurance companies, and payment service providers
- Collaborative and open culture that values diversity, inclusivity, and creativity
- No forced hierarchy, allowing for career growth and advancement