Senior Finance Systems Analyst
Job Summary
- Complete outstanding PSP and banking integrations and remaining bank feeds.
- Own the Kyriba data push to the Data Warehouse; close the existing pipeline gap.
- Maintain exchange rate feed integrity and ensure reloads cascade correctly to Kyriba and all downstream Finance systems.
- Serve as the technical escalation point for Kyriba and own the vendor relationship and roadmap alignment.
- Build and own the Tableau reporting layer for Kyriba data replacing the current FM dependency.
- Define and own data contracts and mapping logic across NetSuite Kyriba Abacum and the Data Warehouse.
- Coordinate with the Data Engineering team to centralize Finance signals and prevent stale or duplicate data.
- Own the communication loop between Finance Analytics and DE so that recalculations propagate correctly eliminating the balance mismatch and data lag issues Finance currently experiences.
- Align the Abacum actuals feed from NetSuite for accurate FP&A reporting.
- Implement daily automated tests: count/total reconciliation per pipeline anomaly detection with Finance notification alerts and a regression test suite before every BI release.
- Build and maintain external fee reconciliation: maintain the fee agreement register (bank fees LP fees PSP fees) and automate matching of internal GL records against agreements and external statements.
- Publish an Automation Health Dashboard (uptime last run timestamp exception count) visible to Finance leadership.
- Define and own SLAs for all automated Finance processes; report performance against them.
- Run the Finance BI backlog: triage requests manage UAT and regression cycles and move Finance from informal Slack requests to a structured predictable delivery process.
- Own triage and small hotfixes when automations fail; coordinate resolution with Dev/DE teams.
- Run root-cause analysis after every incident and update controls to prevent recurrence.
- Maintain runbooks a control matrix and a data dictionary for all Finance BI objects.
- Hands-on experience with a Treasury Management System: Kyriba strongly preferred equivalent TMS experience (GTreasury Quantum Integrity) considered.
- Strong NetSuite experience: configuration scripting workflows saved searches and ideally GL/multi-entity setup.
- SQL proficiency: you are comfortable writing queries to investigate data issues validate reconciliations and build monitoring routines.
- Demonstrated experience owning finance system integrations end-to-end: mapping validation alerting and incident resolution.
- Solid understanding of core Finance processes - GL treasury FP&A bank reconciliation. You can translate Finance requirements into technical solutions without a hand-holding intermediary.
- Track record of building in ambiguous environments: you dont need a perfect spec to make progress.
- Experience with Abacum or comparable FP&A planning tools.
- Tableau or Power BI: ability to build and maintain Finance dashboards not just consume them
- Familiarity with Airflow or similar orchestration tools for monitoring pipeline health.
- Experience working in a regulated financial services environment (banking fintech brokerage).
- Exposure to data warehouse architecture and working relationships with Data Engineering teams.
- Familiarity with AI-assisted tools (e.g. for SQL generation data analysis or workflow automation) and a mindset of leveraging AI to improve efficiency and system reliability.
Required Experience:
Senior IC
About Company
Enjoy online trading like never before. With Capital.com’s app, you can discover investment opportunities on leading financial markets. Access the latest trading insights at the touch of a button, as well as in-depth educational features, comprehensive financial analysis and the day’s ... View more