Treasury & Finance Integration Lead

Client of Involved Solutions

Dubai

On-site

AED 450,000 - 600,000

Full time

8 days ago
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Job summary

Client of Involved Solutions in the UAE seeks an experienced integration lead to own the end-to-end treasury integration landscape. You will map data across ERP/GL, treasury management systems, core banking, market data, and payments, ensuring accurate posting and multi-currency handling.

You will own BRD/PRD processes, field-level data mappings, and delivery lifecycles, coordinating with Finance, Operations, Risk, and Tech to deliver a zero-defect implementation from design to production.

Qualifications

  • Has integrated or implemented a Finance and Treasury system stack at a commercial bank or through an implementation partner.
  • Holds the whole integration map: ERP/GL, treasury management system, core banking, market data, and payments.

Responsibilities

  • Own end-to-end treasury integration across ERP/GL, treasury, core banking, and market data.
  • Design data mapping, BRD/PRD, and release lifecycles with cross-functional teams.
  • Lead reconciliation framework and controls for daily and period-end close.

Skills

Integration map
ERP/GL
Treasury system
Core banking
Market data
Payments
Data mapping
BRD/PRD process
Build environment
10+ years

Job description

About the role Own the integration landscape end to end trade accounting cash and static data flows between the treasury platform and every system it touchesOwn treasury-to-general-ledger posting accounting event capture sub-ledger treatment chart of accounts mapping journal generation multi-entity and multi-currency treatmentOwn the flows to core banking cash and settlement instructions nostro and account movements customer and account static data limits and exposure feedsOwn market data and venue interfaces rates curves and security static from data providers and trade capture from execution venuesOwn the specifications and delivery lifecycle data mappings file and API contracts batch sequencing against the end of day error handling and replay BRD PRD sign-off vendor coordination and steering committee reportingDesign the reconciliation and control framework sub-ledger to GL balancing suspense and break management daily and period-end controls agreed with Finance and Operations

About you:

Has integrated or implemented a Finance and Treasury system stack at a commercial bank, bank-side or through an implementation partnerHolds the whole integration map, not a single interface: ERP/GL, treasury management system, core banking, market data, and payments, togetherUnderstands treasury accounting for FX, money markets, derivatives, and fixed income, and how each lifecycle event lands in the booksComfortable reading a data mapping and challenging an integrator directly; does not need to code, but needs to work at that level of technical detailHas run a BRD/PRD process end to end with field-level data mappings, across Finance, Treasury, Ops, Risk, and Tech10+ years' experience, with delivery in a build environment (something defined from zero, or a major re-platform), not only in run/BAU

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