Senior Business Analyst – Treasury & Markets
We are seeking a Senior Business Analyst with strong experience in Treasury and Markets products, a deep understanding of End-to-End Front-to-Back (E2 E) flows, and the ability to operate at the intersection of Business and IT. We are looking for a goal-driven professional with strong ownership, adaptability, and the ability to deliver results in complex Global Markets / Investment Banking environments, even when information is incomplete or evolving.
Key Responsibilities
Act as Business Analyst for Markets/Treasury initiatives, bridging Business and Technology teams
Analyze and document End-to-End Front-to-Back processes (Front, Middle, Back Office, Risk, Accounting)
Work with derivatives and fixed income products, ensuring correct business logic and system alignment
Translate business requirements into functional specifications and support technical implementation
Validate calculations, pricing logic, and financial metrics using financial mathematics concepts
Perform data analysis and validations using Python when needed
Identify process gaps, inefficiencies, and improvement opportunities across systems and operational flows
Coordinate multiple stakeholders (Business, Technology, Risk, Accounting), ensuring alignment and delivery
Required Qualifications
Strong experience with Treasury / Markets products, including:
Derivatives (IR, FX, basic structured products)
FX products (spot, forward, swaps)
Fixed Income (bonds, repos, money market instruments)
Liquidity and funding instruments
Deep understanding of End-to-End Front-to-Back flows in Global Markets / Investment Banking environments
Experience working between Business and IT teams
Strong foundation in financial mathematics (NPV, discounting, accruals, yield curves, pricing fundamentals)
Practical knowledge of Python for data analysis and validation
Experience in large banks or complex financial institutions
Advanced English
⭐ Nice to Have
PSPO (Professional Scrum Product Owner) certification or similar Previous consulting experience (for or within Financial Institutions)
Knowledge of accounting principles and accounting entries related to financial products
Familiarity with regulatory, capital, and risk frameworks impacting Markets products
Experience with agile methodologies and backlog refinement
Availability for hybrid work (up to 3 days per week onsite in Morumbi region).
What We Offer
Career path, mentorship, and training in modern recruiting practices.
Access to certifications and language classes.
Dynamic, international environment with cross-country collaboration.
Competitive CLT benefits package (health, dental, life, meal/transport allowances, Well Hub).
And much more: a flexible work environment, internal events, travel, wellness initiatives, and more.
Learn more about us:
Location: São Paulo, Brazil (Hybrid)
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