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Business Analyst Cash Management - Services financiers - Paris

Paris, IDF, fr💼 Full-time🗓 2026-06-03 → 2026-07-31

Core

Business Analyst supporting banks and large enterprises on high-stakes cash management, treasury, and payment flows (SEPA, SWIFT, ISO 20022) projects.

Role type

Senior Business Analyst (Financial Services)

Builds

Functional specifications, user stories, process models, and test cases for treasury and payment modules.

Domain

Financial Services / Cash Management / Treasury / Payments

Deliverable

production ML models | product features | dashboards & analysis | client delivery

Required skills

Business analysis, requirements gathering, workshop facilitation, functional specification writing, process modeling, test strategy execution, user guide creation, SQL, Agile (Scrum/Kanban), English (intermediate)

Preferred skills

Cash pooling, liquidity forecasting, TMS integration, ISO 20022 migration

Technologies

SEPA, SWIFT, ISO 20022, EBICS, SQL, TMS

Responsibilities

Gather and analyze requirements from treasury/cash management teams; conduct workshops on treasury processes and payment flows; write functional specifications and user stories; contribute to module design for cash management and payments; participate in project scoping and implementation; execute functional testing and validation; support change management with training and user guides.

Seniority

Senior, hands-on IC

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