What are the responsibilities and job description for the Business Analyst- Liquidity Risk position at Mindlance?
Job Title: Business Analyst II
Location: Washington, DC
Duration: 06 Months Long Term
Hybrid Onsite: 4 days/week onsite from Day1 with a transition to 100% onsite expected soon.
Client is seeking a Business Analyst with experience supporting complex liquidity risk and regulatory reporting initiatives within capital markets or treasury environments. The candidate should have prior experience analyzing financial reporting requirements, interpreting regulatory logic, and translating business needs into structured reporting specifications. The individual will support the TANGO project team in the design, implementation, and validation of liquidity-related reports as part of an ongoing transformation effort.
Technical Skills:
- Strong understanding of liquidity risk and regulatory reporting within capital markets or treasury environments.
- Experience working with financial data and reporting transformation processes.
- Proficiency in data analysis tools and structured query languages (SQL).
- Familiarity with capital markets systems (e.g., Murex or similar platforms) is preferred.
- Experience documenting financial reporting specifications.
Mindlance is an Equal Opportunity Employer and does not discriminate in employment on the basis of Minority/Gender/Disability/Religion/LGBTQI/Age/Veterans.