Created at: June 30, 2025 00:02
Company: Accenture
Location: Nashville, TN, 37201
Job Description:
We are: The Advanced Technology Centers (ATCs) are the engine for reinvention in our clients’ transformation journey. Powered by more than 255,000 people across 24 countries, ATCs provide our clients with seamless access to industry insights and innovative technology solutions.
Stronger together! The Advanced Technology Centers (ATCs) make a tremendous impact in solving our clients’ business problems by leveraging innovation, intelligence, industry insights, new IT, and new technology skills. With the global environment changing at a faster pace, our clients are facing unprecedented challenges, and they need us more than ever before. As a Network, ATCs are positioned to unlock greater opportunities and exponential value for our clients.
The value for our clients and our people: For our clients, the Network provides the strength of our geographic diversity, greater resilience, and seamless access to the deepest industry knowledge, the latest in Gen AI solutions, and tech expertise from around the world.
For our people, it brings an opportunity to shape truly boundaryless career paths in a highly collaborative team of experts where they can learn from each other and solve the world’s most complex client challenges.
The work:
Own the design, configuration, and delivery of key SAP S/4HANA FSCM and Treasury solution components including Cash Management, Bank Account Management, In-House Cash, Liquidity Planning, Treasury & Risk Management, and Bank Communication Management.
Translate complex treasury and financial supply chain requirements into solution designs leveraging S/4HANA innovations such as One Exposure, Centralized Cash Positioning, Advanced Liquidity Planning, and Fiori-based apps.
Lead and participate in workshops with client treasury teams and finance stakeholders to confirm solution scope, business rules, risk policies, and approval workflows.
Configure and support integration scenarios across core finance (FI), AP/AR, and external systems such as banks and trading platforms, ensuring process integrity for payments, hedging, forecasting, and reporting.
Build functional specifications for interfaces, payment formats, and workflows (e.g., MT940, ISO20022, BAM, BAI2), working closely with technical and integration teams.
Execute and support unit testing, integration testing, and UAT, addressing defects, validating liquidity data flows, and ensuring accurate exposure management.
Prepare and validate data loads for bank accounts, house banks, deal masters, and related treasury data objects.
Provide input into training materials, testing plans, and change impact assessments for treasury users.
Ensure timely delivery of high-quality deliverables, escalating risks or dependencies to the Finance or R2R Lead as required.
This is a hybrid role in Nashville, TN and will require 3 days per week in the office. May consider qualified applicants in Houston, TX.