FTP Business Analyst - Treasury
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What you'll do
- Perform business analysis and requirements documentation for Treasury and FTP systems.
- Apply FTP methodologies and balance sheet management concepts.
- Manage liquidity pricing, profitability measurement, and treasury processes.
- Develop reports and dashboards for data interpretation.
- Engage with stakeholders to communicate findings and requirements.
What they're looking for
- Bachelor's degree in Finance, Banking, Economics, Accounting, Business Administration, Information Technology, Mathematics, or related discipline.
- At least 7 years of relevant experience, preferably within a highly rated international bank.
- Experience in Treasury, Finance, ALM, FTP, Risk Analytics, Business Analysis, or Performance Management.
- Strong understanding of FTP methodologies and balance sheet management concepts.
- Knowledge of liquidity pricing, profitability measurement, and treasury processes.
- Strong business analysis and requirements documentation skills.
- Advanced analytical and quantitative capabilities.
- Strong reporting, dashboarding, and data interpretation skills.
- Effective stakeholder engagement and communication skills.
Nice to have
- Exposure to profitability, liquidity, capital, or RAROC frameworks preferred.
Summarised by NextRaise from the employer’s description, which follows in full below.
Full description from employer
Job Description
We are currently looking for FTP Business Analyst for our Qatar operations
Education & Experience Requirements:
- Bachelor's degree in Finance, Banking, Economics, Accounting, Business Administration, Information Technology, Mathematics, or related discipline.
- At least 7 years of relevant experience, preferably within a highly rated international bank.
- Experience in Treasury, Finance, ALM, FTP, Risk Analytics, Business Analysis, or Performance Management.
- Exposure to profitability, liquidity, capital, or RAROC frameworks preferred.
Required Special Skills:
- Strong understanding of FTP methodologies and balance sheet management concepts.
- Knowledge of liquidity pricing, profitability measurement, and treasury processes.
- Strong business analysis and requirements documentation skills.
- Advanced analytical and quantitative capabilities.
- Strong reporting, dashboarding, and data interpretation skills.
- Effective stakeholder engagement and communication skills.
Joining time frame: 2 weeks (maximum 1 month)
Company
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