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Treasury Front Office Business Analyst

Project Overview:


We are embarking on a strategic transformation initiative to upgrade our client's Treasury Management System, FMC (Finmechanics Converge) . We are seeking experienced Treasury and Capital Markets professionals who can contribute to the successful delivery of this programme through business and technical analysis, with a primary focus on Front Office operations .

This role offers the opportunity to work closely with business stakeholders, technology teams, and external partners to modernise treasury capabilities and enhance customer-facing solutions within a complex financial services environment.


Key Responsibilities:


  • Analyse business and technical requirements and assess the feasibility of system upgrades and enhancements.
  • Support the design, development, and implementation of external customer-facing treasury solutions.
  • Collaborate with business users, technology teams, vendors, and change management stakeholders to drive successful project outcomes.
  • Provide expertise in treasury operations, trading workflows, and front-office processes.
  • Identify risks, dependencies, and improvement opportunities throughout the project lifecycle.
  • Produce and maintain high-quality documentation, ensuring compliance with project and organisational standards.
  • Facilitate workshops, requirements gathering sessions, and stakeholder discussions.
  • Contribute to solution design and integration strategies across multiple treasury and banking platforms.


Required Experience & Skills:


  • 8–10+ years of experience within Treasury, Capital Markets, or Financial Markets technology environments.
  • Strong knowledge of Treasury Management Systems, ideally FMC (Finmechanics Converge) .
  • Hands-on experience with Front Office trading systems and workflows within financial institutions.
  • Deep understanding of Treasury and Capital Markets products, including:
  • Foreign Exchange (FX)
  • Derivatives
  • Money Markets (MM)
  • Fixed Income (FI)
  • Interest Rate Derivatives (IRD)
  • Experience with:
  • Position & Cash Management ( must-have )
  • Limit Management
  • Settlement & Reconciliation processes
  • Margin and Futures workflows
  • Market Data integration
  • International Market connectivity
  • Exchange integrations
  • FIX Protocol
  • Experience integrating treasury platforms with Core Banking systems and other enterprise applications.
  • Strong analytical, problem-solving, and stakeholder management capabilities.
  • Excellent communication and documentation skills.


Ideal Candidate:


You are a seasoned Treasury or Capital Markets professional with a strong blend of business and technical expertise. You thrive in complex transformation programmes, can engage confidently with senior stakeholders, and have a proven track record of delivering treasury system implementations, upgrades, or integration initiatives.


Why Join?


  • Be part of a high-profile Treasury transformation programme.
  • Work with leading financial markets technology and treasury platforms.
  • Collaborate with cross-functional teams across business and technology.
  • Contribute to the modernisation of critical front-office capabilities within a global financial environment.

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