Work closely with business stakeholders in Treasury, Trading, and Risk teams to gather and document requirements Analyze and translate business requirements into functional specifications for Calypso implementations Support front-to-back treasury processes including Trading, Risk, Settlements, and Reporting Coordinate with technical teams for Calypso configuration, enhancements, and integrations Perform UAT support , test case preparation, and defect management Ensure compliance with regulatory and internal controls Support change requests, production issues, and system upgrades 5+ years of experience as a Business Analyst in Treasury systems Strong hands-on experience with Calypso Good understanding of Treasury products (FX, Money Market, Fixed Income, Derivatives) Knowledge of Risk Management, P&L, and Valuations Experience in requirement gathering, BRD/FRD documentation Strong stakeholder management and communication skills Good to Have: Experience working with banking clients Exposure to system integrations and data flows Prior experience with Middle Office / Back Office processes