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Business Analyst Cash Management - H/F

Paris, IDF, fr🌐 Remote💼 Full-time🗓 2026-09-28 → 2026-10-01

Core

Business Analyst supporting Cash Management and Payments projects, bridging business needs with IT teams in a corporate treasury context.

Role type

Senior Business Analyst (Cash Management & Payments)

Builds

Cash management solutions, payment flows, client onboarding processes, and SWIFT API integrations

Domain

Banking / Corporate Treasury / Payments

Required skills

Cash management domain expertise, Payment flows knowledge (domestic, European, international), Treasury software proficiency (Kyriba, XRT, KTP, TRAX, Atlas), Functional specification writing, Test case management, Stakeholder coordination, Agile methodology

Preferred skills

API integration experience, SWIFT protocols knowledge

Technologies

Kyriba, XRT, KTP, TRAX, Atlas, SWIFT

Responsibilities

Write functional specifications and requirements, Manage test scenarios and bug tracking, Coordinate between business, IT, and MOA teams, Assist users and monitor productivity

Seniority

Senior, hands-on IC

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