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Business Analyst Cash & Liquidity Management (Payments)

Формат работы
hybrid
Тип работы
fulltime
Английский
b2
Страна
Romania
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
Business Analyst Cash & Liquidity Management (Payments): Translating business needs into requirements and actionable deliverables for cash and liquidity management squads, with an accent on international payments, stakeholder alignment, and service performance. Focus on coordinating multiple projects, managing functional and non-functional requirements, supporting backlog prioritization, and delivering scalable liquidity processing solutions.

Location: Bucharest - Dacia One, with the option to work from home or from the office

Company

hirify.global Romania provides software development, data management, risk and compliance, audit, and retail operations services to ING units worldwide.

What you will do

  • Manage multiple Cash & Liquidity projects by aligning impacted squads, clarifying scope, and tracking delivery timelines.
  • Gather, validate, and manage functional and non-functional requirements, including security, resilience, performance, legal, contractual, and compliance obligations.
  • Support Product Managers with backlog prioritization and help maximize business value across initiatives.
  • Review work in progress, identify risks early, and facilitate the removal of squad impediments.
  • Build relationships with Risk, Legal, Compliance, Audit, Finance, Tax, Sales, service consumers, and service providers.
  • Act as the main day-to-day contact for Group Treasury, including organizing quarterly service reviews and driving continuous improvement.

Requirements

  • Experience with international payments and the overall SWIFT network.
  • Ability to translate complex stakeholder needs into clear requirements and user stories and explain solution trade-offs.
  • Understanding of technical development, basic databases, and messaging formats.
  • Experience guiding onshore and offshore teams.
  • Excellent English and a proactive, structured, accurate, and resilient working style.

Nice to have

  • Understanding of MX messaging for cross-border payments and market infrastructures.

Culture & Benefits

  • Flexible working between home and the office.
  • Collaborative environment with fair and constructive feedback.
  • Opportunity to work with global Treasury stakeholders and payment services.
  • Exposure to scalable, resilient systems processing millions of messages.

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