We are the Cash Management team within Corporate & Institutional Banking, delivering liquidity solutions and pricing governance to corporate clients in Iberia. Our 620‐plus professionals partner finance and sales to drive revenue integrity. We operate across Madrid, Barcelona, Bilbao and A Coruña, leveraging a network in 56 countries. We focus on accurate financial reporting and pricing performance.
As a Pricing Analyst, you will ensure accurate pricing execution and revenue tracking across the client portfolio. You will support the Head of Cash Management with financial reporting, pricing governance and strategic initiatives. You will act as a liaison between Sales and Finance to resolve data discrepancies. Support the Head of Cash Management Iberia in financial reporting and pricing performance monitoring.Strengthen coordination between Sales and Finance to ensure consistent data flows.Develop and maintain reporting tools to track pricing, revenue evolution and data quality KPIs.Provide actionable insights to Sales by analyzing trends, variances and potential revenue leakages.
You need at least 3 years of pricing, cash‐management or financial‐analysis experience.You must be advanced in Excel (pivot tables, formulas) and data analysis.You must be fluent in spoken and written English.You should have an analytical mindset, high attention to detail and data accuracy.We are BNP Paribas, a leading European bank with operations in 64 countries and over 178 000 employees. In Corporate & Institutional Banking we provide financing, investment and risk‐management solutions to corporates and institutions. Our presence in Europe, the Americas and Asia‐Pacific supports client projects worldwide. We foster a culture of innovation, inclusion and excellence.