Provide Workday Banking and Settlement configuration and integration
Reconcile MT940, CamT.053, and BAI2 formats; support reporting
Manage cash management across A/P and GL in Workday
Collaborate with global teams to implement banking standards
Requirements
Bachelor's degree with 10+ years; 5+ years Workday Financials experience, with 2+ years in Banking and Settlement
Strong hands-on experience with MT940, CamT.053, and BAI2 formats
Proven ability to configure Workday integrations and reconciliation rules
Deep understanding of financial operations: A/P, GL, cash management
Excellent problem-solving and communication skills
Preferred Qualifications: Experience with ISO 20022 and global banking standards; Familiarity with Workday MT Messaging Configuration and Integration Maps; Exposure to Workday Supplier and Customer modules; Experience in global/matrixed environments; Expertise in Workday Prism Pipelines; Extensive Prism Transformations; Good understanding of Data Change Tasks (DCTs)