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Kyriba Treasury Management Specialist

Contract
Jersey City
Posted 15 hours ago

About the Job

Role Description

Responsibilities:

  • Implement and configure Kyriba Treasury Management System (TMS) to support bank reporting, cash concentration, liquidity reporting, balance reconciliation, cash positioning, payments, and disbursements.
  • Manage end-to-end treasury operations including cash management, bank administration, FX risk, and liquidity optimization.
  • Oversee payment processes including wire transfers, payment instructions, and message workflows (e.g., MT101, MT940).
  • Integrate SWIFT messaging services for FX confirmations, debit/credit notices, statements, collections, and documentary credits.
  • Utilize market data feeds to manage and apply FX rates across multiple currencies.
  • Assess existing treasury processes and recommend technology-driven improvements for automation and scalability.
  • Establish version control systems (VCS), define KPIs, and lead user acceptance testing (UAT) to ensure system performance and process consistency.
  • Partner with finance, IT, and external stakeholders to align Kyriba implementation with business goals and compliance standards.
  • Deliver measurable improvements in financial transparency, control, and ROI through effective system rollout and ongoing optimization.

Responsibilities

Experience

Our Benefits

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