We are seeking an experienced Business Analyst (BA) to join our team working on the Intraday Liquidity Management System, which supports bank-wide intraday cash projections and reporting. The ideal candidate will possess deep domain knowledge in liquidity, financial markets, or cash management, combined with strong analytical and technical skills.
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Analyze and support Intraday Liquidity systems, data models, and reporting workflows.
- Work closely with developers, architects, and data teams to define technical requirements.
- Convert business requirements into:
- Functional & Technical Specifications
- Data mapping documents
- System interface specifications
- Perform complex SQL queries for data analysis, validation, and reconciliation.
- Analyze liquidity data sources including payments, settlements, and cash positions.
- Support data extraction, transformation, and reconciliation activities.
- Participate in system integration discussions and solution design.
- Assist in SIT/UAT by validating data accuracy and technical outputs.
- Investigate production issues using database queries and system logs.
- Collaborate with stakeholders across Technology, Treasury, and Liquidity teams.
Requirements
7+ years of experience as a Technical Business Analyst within the Banking or Financial Services industry.
Proven experience working on Intraday Liquidity, Liquidity Reporting, Cash Management, or Treasury transformation projects.
Hands-on expertise in SQL (Mandatory):
- Complex joins
- Stored procedures
- Data analysis & reconciliation
- Performance query optimization
Experience working with Intraday Liquidity or Liquidity Reporting systems.
Strong understanding of:
- Data flows
- System integrations
- APIs / batch processing
- Data mapping & lineage
Experience working with developers in Agile/Scrum environments.
Ability to read and understand technical architecture documents.
Optional / Good to Have Skills
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Exposure to Nostro account processing or reconciliation.
- Knowledge of payment systems (SWIFT, RTGS, Clearing).
- Experience with Treasury or Cash Management platforms.