NEWPosted 5 hours ago

Job ID: JOB_ID_4338

Job Overview

We are seeking a highly analytical and experienced Business Analyst to join our Financial Technology team. In this role, you will bridge the gap between business stakeholders, treasury operations, and software engineering. Your primary focus will be designing, optimizing, and implementing global payment workflows and advanced liquidity management solutions. You will play a critical role in ensuring our platforms efficiently handle cash concentration, pooling, and real-time intraday liquidity monitoring. This is a contract position requiring 11+ years of experience, with a preference for candidates located in EST & CST time zones.

Key Responsibilities

  • Requirements Elicitation & Documentation: Gather, analyze, and document complex business requirements from Treasury, Product, and Operations teams regarding payment processing and liquidity management.
  • Liquidity Solution Design: Map and optimize As-Is and To-Be workflows for liquidity structures, including physical cash sweeping, notional pooling, target balancing, and interest optimization.
  • Payment Workflow Mapping: Analyze and define rules for domestic and cross-border payment routing, clearing, and settlement across various clearing houses.
  • Agile Delivery: Translate high-level business needs into detailed Epics, User Stories, and clear Acceptance Criteria. Maintain and prioritize the product backlog in collaboration with the Product Owner.
  • Intraday Liquidity Monitoring: Define technical and functional requirements for real-time Nostro/Vostro account monitoring, funding projections, and liquidity forecasting.
  • Stakeholder Alignment: Act as the primary liaison between technical teams (Developers, QA, Architects) and business stakeholders to ensure a shared understanding of system capabilities and business goals.
  • Testing & UAT: Support the QA team in designing test cases and lead User Acceptance Testing (UAT) to validate that delivered features accurately execute payment formatting, routing, and liquidity calculations.

Required Skills and Experience

  • 11+ years of experience as a Business Analyst or Product Owner within Banking, Financial Services, or Fintech.
  • Payments Expertise: Deep functional knowledge of global payment systems and clearing networks (e.g., SWIFT, SEPA, ACH, Fedwire, CHAPS, RTGS).
  • Liquidity Knowledge: Subject matter expertise in Corporate Treasury or Bank Liquidity Management, specifically cash pooling, sweeping structures, and intraday liquidity reporting.
  • Primary Skills: Business Analysis, Payment Ancillary Systems Liquidity, Requirements Elicitation and Documentation.
  • Required Skills: Cash Management, Cash Pooling (Notional/Actual), Cash Forecasting, Cash-Flow Management, Sweeping, Cash Consolidation.
  • Experience with Agile methodologies.
  • Excellent communication and interpersonal skills.

Additional Information

  • This is an onsite contract position in Tampa, FL.
  • Candidates must be located in EST & CST time zones.
  • Only suitable profiles will be considered.

Special Requirements

Only EST & CST time zones, Onsite


Compensation & Location

Salary: $75 – $95 per year (Estimated)

Location: Tampa, FL


Recruiter / Company – Contact Information

Email: eet.anand@quantumworldit.com


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