Position Details
About this role
This role involves analyzing and documenting business requirements for financial systems, focusing on cash management, treasury, and payments, ensuring seamless integration and process efficiency.
Key Responsibilities
- Gather requirements for system integration
- Generate BRDs and process maps
- Support cash management and treasury systems
- Collaborate with stakeholders
- Document technical specifications
Technical Overview
The technical scope includes system integration, workflow analysis, and documentation within financial and treasury platforms, with experience in Agile and Waterfall methodologies.
Ideal Candidate
The ideal candidate is a seasoned business analyst with over 5 years of experience in financial systems, specializing in cash management, treasury products, and system integration, with strong documentation and stakeholder management skills.
Must-Have Skills
Nice-to-Have Skills
Tools & Platforms
Required Skills
Hard Skills
Soft Skills
Industry & Role
Keywords for Your Resume
Deal Breakers
Less than 5 years of experience, No experience with treasury or cash management, Lack of technical background, Inability to work remotely
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