Implementation Consultant (IGT1)
IFS
Company Description
About IGT1 Lanka
IGT1 is a rapidly growing offshore technology and talent solutions company based in Port City Colombo. We are a fully owned subsidiary of IGT I Holdings Sweden AB, funded by the three of world’s leading private equity firms; EQT Group, Hg, and TA Associates. We’re also proud to be a sister company of IFS, Sri Lanka’s largest and most established technology company.
At IGT1, we partner with global businesses to provide them with an operation that maximizes efficiency, spurs growth, allows them to develop and deliver world-class product and services, and create long-term value. Our people-first culture champions diversity, teamwork, and continuous learning, creating an environment where talent thrives.
With a team of over 500 professionals and counting, we are always looking for passionate, skilled individuals who want to make a global impact while being part of something extraordinary.
Through our offshore collaboration model, you'll be embedded within the team of one of our esteemed international clients, contributing directly to high-impact, enterprise-level initiatives.
About the Client: Kyriba
Kyriba is the global leader in cloud-based finance solutions, empowering CFOs and their teams to transform how they activate liquidity as a dynamic, real-time vehicle for growth and value creation. Our award-winning SaaS platform delivers comprehensive treasury, risk management, payments, and supply chain finance capabilities that enable companies to optimize their working capital and enhance financial performance.
About the role:
As an Implementation Consultant, your work fuels the engine that accelerates customer success. This role directly impacts how quickly and smoothly clients adopt Kyriba's treasury platform—transforming complex requirements into streamlined, production-ready environments. By blending treasury expertise with technical innovation and automation, you enable faster go-lives, higher quality configurations, and exceptional customer experiences.
Job Description
Key Responsibilities:
Treasury Configuration & Static Data Setup
- Configure core treasury modules (Cash Management, Payments, Forecasting, Financial Transactions, Accounting) to meet client requirements.
- Build and manage static data (entities, bank accounts, counterparties, FX instruments, GL accounts, workflow rules) with precision and efficiency.
- Prepare and upload bulk data templates (CSV/XML/JSON) into client environments, ensuring data integrity and readiness.
- Design and validate treasury workflows for approvals, cash positioning, and payment validation.
- Partner with the Integration & Innovation Hub (IIH) to align data and integration readiness for ERP and banking flows.
Process Acceleration & Automation
- Leverage internal tools, scripts, and AI assistants (TAI, DUST) to reduce manual setup time and improve delivery speed.
- Build or adapt automation templates for recurring treasury configurations and testing scenarios.
- Identify and implement process improvements across configuration, validation, and migration tasks.
- Perform data integrity and functional validation before user testing to ensure quality and accuracy.
Testing, Validation & Customer Engagement
- Prepare UAT datasets, design test scenarios, and support defect resolution to ensure smooth customer testing.
- Run functional checks on payment workflows, statement imports, and cash positioning logic.
- Collaborate closely with clients to translate treasury processes into Kyriba workflows, acting as the bridge between business and technology.
- Deliver clear configuration documentation and handovers to ensure sustainability post-go-live.
Qualifications
Preferred Skills and Experience:
Experience
- 3–7 years in treasury system implementation, ERP configuration, or banking/payments consulting.
- Experience working on SaaS implementations or multi-entity, multi-currency environments.
- Proven record of accelerating delivery through automation or process redesign.
- Knowledge of file transfer protocols (SFTP) and system integrations is a plus.
- Awareness of ERP data models (SAP, Oracle, Dynamics, NetSuite, Workday) and their treasury touchpoints.
Functional Treasury Knowledge
- Understanding of cash management, payments, liquidity, FX, and accounting integration.
- Familiarity with bank connectivity (SWIFT, Host-to-Host, SFTP, EBICS) and payment formats (ISO 20022, BAI2, SEPA, NACHA).
Indicators of Success
- Strong Excel and data modeling skills (pivoting, lookup, cleansing).
- Ability to manipulate structured data (CSV/XML/JSON) and basic SQL knowledge.
- Exposure to Python or scripting for automation of data uploads or checks.
- Comfortable working with AI-based accelerators and internal automation tools.
- Curious and analytical mindset—always looking for smarter, faster ways to work.
- Clear communication and documentation skills for client-facing interactions.
- Self-starter who thrives in a fast-paced, global environment.
- Strong sense of ownership and attention to detail.
Why You'll Love This Role
- Be at the forefront of treasury transformation, using cutting-edge tools and automation.
- Make a tangible impact on customer success and project delivery speed.
- Work in a collaborative, innovative environment where your ideas drive change.
- Grow your skills through certifications, exposure to diverse clients, and hands-on technical challenges.
Additional Information
We champion flexibility and hybrid work options to support varying lifestyles and personal needs. At the same time, we value the power of in-person collaboration to build community, spark innovation, and strengthen connections. Our approach ensures you can work in ways that suit you best while still engaging with colleagues to share ideas and grow together. #LI-Hybrid #LI-DNP