Overview
The Finance Business Analyst will support an international Cash and Treasury Management project on a 6-month contract basis. This role involves analyzing business processes and requirements, documenting key deliverables, and facilitating change activities during the initiation phase of the project. The successful candidate will collaborate closely with the project manager and business subject matter experts to enhance data accuracy and visibility across treasury operations.
Responsibilities
- Analyze business processes and gather refined requirements in collaboration with project manager and SMEs.
- Produce clear documentation including process maps, data models, and user stories.
- Consolidate international bank account feeds into the Treasury module for complete data accuracy.
- Create and document both 'as-is' and 'to-be' processes and data flows for Treasury activities.
- Produce and validate functional specifications and acceptance criteria for user stories.
- Facilitate workshops and training sessions for business staff to adapt to new processes and systems.
- Develop gap analyses comparing current treasury capabilities with full solution requirements.
- Communicate findings and implementation plans to stakeholders, achieving consensus on the solution design.
Requirements
- Proven experience as a Business Analyst in finance or treasury projects.
- Strong knowledge of PeopleSoft, Pega, Anaplan, and Bottomline systems.
- Experience in requirements documentation, including FSDs, use cases, and user stories.
- Familiarity with cash forecasting and bank statement analytics, including AI/machine learning.