About This Opportunity
IT Business Analyst Treasury (Liquidity & Cash Management) Key Skills: Capital Markets., Treasury (LIquidity, .Cash Management, Funding. Risk) Toronto, ON - Hybrid Primary Skills: Capital Market, Liquidity- cash Management, Treasury, Liquidity Risk Business Analyst Senior (Liquidity and cash management) --------------------------------------------------------------------- Business Analysis & Requirements Lead endtoend business analysis for liquidity and cash management initiatives Elicit, analyze, and document: Business requirements (BRD) Functional requirements (FRD) Use cases, process flows, and data mappings Translate regulatory and business needs into clear, testable functional requirements Liquidity & Treasury Domain Support solutions related to: Intraday and endofday liquidity monitoring Cash positioning and forecasting Funding and liquidity risk management Nostro/Vostro account management Analyze liquidity metrics such as: LCR (Liquidity Coverage Ratio) NSFR (Net Stable Funding...