JustJoin.IT Praca zdalna Mid New

Treasury Business Analyst

emagine Polska

⚲ Poland (Remote)

120 - 150 PLN/h netto (B2B)

Wymagania

  • Liquidity Risk
  • Securities Mobilisation

Opis stanowiska

Job Title: Treasury Business Analyst (BA) Location: Remote, Poland ( Visit 2 times office in Kraków) Business Area: Treasury & Liquidity Risk (Regulatory Deliveries). Role Overview We are seeking an experienced Treasury Business Analyst to support critical regulatory deliveries in a dynamic and high-pressure environment. The ideal candidate will demonstrate deep expertise in securities mobilisation and collateral optimisation (mandatory), with strong knowledge of collateral loans considered highly advantageous. The successful applicant will drive agile delivery practices and ensure all regulatory commitments are met, contributing to the ongoing enhancement of our Treasury and Liquidity Risk functions. What we offer: • Remote ( Visit office in Kraków 2 times per month) • Rate: 120-150 PLN/ H + VAT • Long Term B2B Contract Main Responsibilities • Collaborate with Treasury, Risk, and Collateral teams to capture, document, and refine business requirements, translating complex regulatory and liquidity risk needs into actionable deliverables. • Act as the subject matter expert for securities mobilisation, embedding best practices in mobilisation, optimisation, and risk management into business processes. • Advise on collateral optimisation strategies, supporting the design and enhancement of collateral workflows across Treasury and Risk functions. • Partner with stakeholders to ensure securities deliveries align with regulatory requirements (e.g., Basel III, LCR, NSFR), and meet regulatory timelines and standards. • Support governance and reporting requirements for senior forums and regulatory committees. • Embed agile methodologies into Treasury projects, participating in sprint planning, stand-ups, and retrospectives, and collaborating with technology teams to ensure timely delivery. • Liaise with Treasury, Risk, Operations, and Technology teams to ensure solutions meet business needs, and communicate effectively with senior stakeholders. • Draft, write, and present high-quality papers for senior management forums and governance bodies. • Proactively identify risks, opportunities, and solutions, organise and lead workshops, and mentor junior analysts to instil best practices. Key Requirements • Extensive experience in securities mobilisation and collateral optimisation (mandatory). • Strong knowledge of collateral loans (advantageous), including mobilisation, optimisation, and risk management. • Strong knowledge of liquidity risk frameworks and regulatory requirements. • Proven track record of delivering projects in pressured, regulatory-driven environments. • Hands-on experience with Agile methodologies (Scrum). • Excellent organisational skills and the ability to manage multiple deliverables simultaneously. • Strong written communication skills, with experience producing high-quality papers for senior forums. • Strong stakeholder management and interpersonal skills. Nice to Have • Prior experience in global banking or financial institutions. • Familiarity with collateral optimisation tools and platforms. • Experience working across geographically distributed teams. • Advanced analytical and problem-solving skills, with the ability to translate complex requirements into actionable solutions.