Job Description - TMS Implementation Support (6-Months Contract)
Description
Role Purpose
Support execution across the bank connectivity, payment configuration, and UAT workstreams of the TMS implementation — from onboarding through go-live validation.
Feed status and risks into the master action tracker
Key Responsibilities
1. Bank Connectivity
Drive end-to-end H2H connectivity onboarding across an estimated of 25 banking partners
Manage onboarding documentation and authorised signatory processes across all markets — collection, verification, and submission per each bank's and market's requirements (e.g. e-signature restrictions, signatory rules in Hong Kong, Australia, Singapore, etc.)
Follow up closely and persistently with all banks to unblock signatory, legal, and documentation bottlenecks — this is an active chase-and-resolve function
Own the connectivity dashboard/tracker
2. Payment Configuration & Testing
Configure payment file formats, templates, and routing rules within the TMS per bank/market requirements
Build and execute test payment files (test/pilot transactions) per bank connection before production cutover
Validate payment approval workflows, MFA/security controls, and exception handling
Troubleshoot failed transmissions or format rejections directly with bank technical contacts
3. UAT
Assist with design and execute UAT test scripts covering bank connectivity, payment initiation, and confirmation/reconciliation flows
Assist the team to Log defects (if any) prior any discussion with the vendor (Ripple/GTreasury) implementation team
Validate camt.053/statement ingestion and reconciliation accuracy against source bank data to ensure Treasury team can sign off entity-by-entity readiness ahead of go-live
4. Data validation
Support the Treasury team in validating data uploaded into the TMS for each module, ensuring the information is complete, accurate, and aligned with business requirements before go-live.
Requirements
Prior hands-on TMS or bank connectivity implementation experience
UAT test design and defect management experience in a treasury or ERP context
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