Kyriba Application Lead — Treasury Systems Expert

EisnerAmper LLP

New York (NY)

On-site

USD 90,000 - 120,000

Full time

14 days+
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Job summary

EisnerAmper LLP is seeking a Kyriba Application Lead to join the RESIG Team in New York. You will manage Kyriba TMS daily operations, troubleshoot issues, and coordinate with treasury, accounting, IT, and vendors to optimize cash forecasting and payments.

You will maintain configurations, user access, and data integrity while driving adoption of best practices and process improvements. This role emphasizes cross-functional collaboration and a strong focus on efficiency and accuracy.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Information Systems, or a related field.
  • 2+ years of Kyriba experience.
  • Strong treasury experience including cash management and forecasting.
  • Experience working cross-functionally with treasury, accounting, and IT.

Responsibilities

  • Serve as the primary support resource for Kyriba TMS, managing daily operations, troubleshooting, and issue resolution.
  • Act as the liaison between treasury, accounting, IT, and external vendors.
  • Support cash positioning, forecasting, bank connectivity, and payment workflows within Kyriba.
  • Maintain system configurations, user access, and data integrity.
  • Identify and resolve discrepancies and support system enhancements and implementations.
  • Document processes, train users, and drive adoption of best practices.
  • Act as Kyriba SME and partner with teams to improve treasury operations and efficiency.
  • Ensure timely issue resolution and clear stakeholder communication; drive process improvements and standardization.

Skills

Kyriba experience
Treasury operations
Cross-functional collaboration
Excel proficiency
Communication skills

Education

Bachelor's degree in Finance/Accounting/IS

Tools

Kyriba TMS

Job description

EisnerAmper LLP is seeking a Kyriba Application Lead to join the RESIG Team in New York. You will manage Kyriba TMS daily operations, troubleshoot issues, and coordinate with treasury, accounting, IT, and vendors to optimize cash forecasting and payments.

You will maintain configurations, user access, and data integrity while driving adoption of best practices and process improvements. This role emphasizes cross-functional collaboration and a strong focus on efficiency and accuracy.

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