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Capital Market _Business Analyst ALM Treasury - H/F

Paris, IDF, fr💼 Full-time🗓 2026-10-05 → 2026-10-07

Core

Business Analyst supporting the ALM Treasury department of an investment bank to evolve systems managing liquidity, interest rate, and exchange rate risks and implementing market hedges.

Builds

Liquidity, interest rate, and FX risk management systems

Domain

Investment Banking / ALM Treasury

Required skills

ALM (asset-liability management), liquidity indicators (CT/LT), financial product valuation, treasury management, FX hedging, SQL

Preferred skills

Change management, user training, project coordination

Responsibilities

Define and write requirements, plan and coordinate projects, write functional specifications, manage testing and production deployment, lead change management and user support