Business Analyst - Cash/Liquidity Management
Capco
Brussels, Belgium
Responsibilities
- Possess strong appetite and interest for business analysis
- Able to translate complex concepts or complex regulations into easy to understand and workable concepts
- Integrate the changes or new regulations into various tools/documentation/processes
- Work in the cash management/liquidity management team of a bank
Show Us What You’ve Got
It will be very useful if you have some or all of the following skills and experience:
- Professional experience of 2 to 3 years in the financial services (banking, insurance, market infrastructure) industry or within a consultancy firm
- Experience with tools allowing process drafting and MS office
- Experience in VBA is a plus
- Commitment and perseverance
- Fluency in English and French is a must
Apply Now
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