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Business Analyst Cash Management & Liquidities

Job Description - Business Analyst Cash Management & Liquidities

Business Analyst (Cash Management & Liquidity)

Hybrid Working - Birmingham, Manchester, or London- 1 day a month on site.

High Street Banking

Lorien's leading High Street Banking client is looking for a Business Analyst with strong skills of working with Cash Management and Liquidity to join the existing team on a new project.

This role is based in Manchester, Birmingham, or London.

This role will be Via Umbrella.

Working in a Hybrid Model of 1 day a month on site.

Key Skills and Experience

  • Strong experience of working within Financial Services.
  • Experienced working with Cash Management and Liquidity.
  • Capture and evaluate Business Process Analysis, Process Engineering.
  • Experience of working within Commercial Banking.
  • Experience of working on projects that have built out products/services and launches.
  • Effectively manage relationships with internal and external stakeholders to ensure successful delivery of solutions.
  • Ensuring a continually high quality of output to ensure solutions are a good fit for the end user and/or for further input.

IND_PC3

Carbon60, Lorien & SRG - The Impellam Group STEM Portfolio are acting as an Employment Business in relation to this vacancy.

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