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Business Analyst

πŸ“ Jersey City, NJ πŸ•’
Work Model
πŸ“ Jersey City, NJ
Employment
πŸ’Ό Full-Time Direct
Recruitment Type
πŸ›‘οΈ Direct to HR Pipeline
πŸ›‘οΈ
Human-Verified Opening: Inspected by Sarah Jenkins, CIPD • RemoteVault Editorial Team. Authenticated directly from Randstad USA's hiring pipeline • Zero recruiter markups or candidate fees. Verification Standards →

πŸ“‹ Role Overview & Responsibilities

This job does not have C2C capabilities.

The Cash, FX and Liquidity Change Management Team operates within the Securities Services business and are based in the US and UK. Our purpose is to support the Cash, FX and Liquidly Product teams to develop the cash target operating model for enhanced operational and cost efficiency. Provide a resilient operation that can quickly recover from market or system incidents. Improve the client experience and provide a centralized change function with consistent and robust frameworks to progress the change agenda.

This role is centred around the On and Off-Balance Sheet Liquidity Product. Liquidity products are an integrated part of the Securities Services product offering and are used to support client’s investment activity. Clients are offered a full array of investment options that can be matched to different types of cash. These solutions are designed to help clients meet their liquidity and yield requirements and optimize each component of their cash portfolio. This candidate will be actively involved in Liquidity Product operations, improvement initiatives, and will partner with responsible stakeholders on the execution of the MMF re-platforming and transformation program.

THE ROLE

Work on tactical and strategic Liquidity initiatives that contribute to operational and cost efficiency.Conduct analysis of business processes to identify inefficiencies, bottlenecks to solution improvements.Provide operational oversight supporting client migrations for the MMF Transformation Program.Collaborate with stakeholders to define project requirements and objectives.Maintain up-to-date and accurate project documentation, escalating appropriately to key stakeholders.Provide concise, timely written and oral status updates to all levels of the organization.Ensure accurate data submissions and timely and controlled monitoring of regulatory reporting.Contribute to design and implementation of robust governance framework for regulatory requirements.Own, deliver, and execute tasks in a timely manner whilst keeping others informed of progress.

KEY SKILLS

Strategic and analytical thinker with a drive to execute and deliver resultsProactive and independent operator, willing to get into the detail of operational processes.Displays positive attitude which contributes to an energetic and motivated team environment.Ability to collaborate with high-performing teams and individuals to accomplish common goals.Strong verbal and written communication skills with the ability to create impactful presentations.Adaptable and able to evolve with a rapidly changing industry.Ability to manage multiple competing and changing priorities in an efficient and structured manner.Ability to independently drive work, manage projects, and creatively and pragmatically solve problems.Global mindset: experience working with different regions and have thoughtfulness to different cultures.Knowledge in project management discipline and techniques beneficial.Securities Services/custody product knowledge beneficial.Experience in Alteryx and Tableau would be an advantage.

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This position is located in Jersey City, NJ with potential relocation and sponsorship assistance depending on candidate qualifications.

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