Kyriba Treasury Consultant

Zuven technologies Inc
  • Irvine, CA
  • Instant Apply
14 days ago

Job Description

Description

  • A highly independent consultant who can engage directly with business stakeholders challenge existing processes provide objective recommendations and translate treasury and Kyriba expertise into measurable business outcomes.

Role Summary

  • We are looking for an experienced Kyriba Consultant to perform an independent assessment of a clients current Kyriba environment and recommend improvements to forecasting accuracy reporting effectiveness cash visibility governance and operational efficiency The consultant will work closely with business and treasury stakeholders to evaluate the current state identify gaps and develop a roadmap for optimization and future enhancements.

Key Responsibilities

  • Conduct a comprehensive assessment of the Kyriba platform including configuration processes integrations reporting and user adoption
  • Review cash forecasting models and recommend improvements to increase forecast accuracy and reliability
  • Analyze treasury operations cash management liquidity management bank connectivity payments and reporting processes
  • Assess current reports dashboards and analytics capabilities and identify opportunities for enhanced business insights
  • Evaluate existing governance controls operational workflows and best practice alignment
  • Review integrations with ERP banking and other upstream downstream systems
  • Facilitate workshops and interviews with treasury finance accounting and business stakeholders
  • Document current state findings pain points risks and improvement opportunities
  • Develop short-term and long-term recommendations including implementation roadmap effort estimates and business benefits
  • Present assessment findings and executive level recommendations to business and IT leadership.

Required Skills Experience

  • Hands-on experience with Kyriba Treasury Management System
  • Strong knowledge of below skills.
  • Cash Management
  • Cash Forecasting
  • Liquidity Management
  • Payments
  • Treasury Operations
  • Bank Connectivity
  • Treasury Reporting and Analytics
  • Financial Risk Management
  • Experience conducting platform assessments health checks or transformation initiatives
  • Understanding of treasury best practices and treasury operating models
  • Strong stakeholder management and workshop facilitation skills
  • Ability to create executive ready assessment reports and recommendations
Skills

Mandatory Skills : Central Finance, Public Cloud FINANCE, SAP Business AI for Finance

Required Skills :

Basic Qualification :

Additional Skills :

Background Check : No

Drug Screen : No

Numbers & Facts

LocationIrvine, CA

Skills

  • Background Investigationunmatched
  • Bank Managementunmatched
  • Banking Servicesunmatched
  • Best Practicesunmatched
  • Cash Managementunmatched
  • Consultingunmatched
  • Customer Acquisitionunmatched
  • ERP (Enterprise Resource Planning)unmatched
  • Financeunmatched
  • Financial Operationsunmatched
  • Financial Risk Managementunmatched
  • Forecastingunmatched
  • Liquidityunmatched
  • Model Reviewunmatched
  • Operational Auditunmatched
  • Operations Managementunmatched
  • Reporting Dashboardsunmatched
  • Systems Administration/Managementunmatched
  • Technical Leadershipunmatched
  • Treasuryunmatched
  • Treasury Accountingunmatched
  • Treasury Managementunmatched

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