Role Overview
Oncor is seeking a GTreasury System Administrator and Configuration Specialist to support the implementation and long-term ownership of our GTreasury SaaS platform. This role will play a critical part during implementation by partnering with Treasury, Accounting, and Technology stakeholders to configure and enable the solution, and will transition into the primary application owner of the post-go-live system.
This position is best suited for a technically strong systems specialist with experience in SaaS platforms, integrations, and financial systems configuration. Treasury domain experience is beneficial but not required.
Key Responsibilities
Implementation & Delivery (Pre-Go-Live)
- Partner with implementation teams, the GTreasury product team, and functional stakeholders to configure GTreasury modules, including: Cash Management & Forecasting, Payments, Financial Instruments, Bank Connectivity, Bank-to-Book Reconciliation, Hedge Accounting, and Liquidity Planning at the direction of GTreasury s SMEs
- Support system configuration, data setup, and environment readiness across development, test, and production
- Participate in integration design and validation between GTreasury, middleware platforms, and PeopleSoft (FIM)
- Assist in defining and testing file formats, interfaces, and data mappings (e.g., bank files, payment formats)
- Contribute to system testing cycles (SIT/UAT), defect resolution, and release readiness
- Ensure alignment with security, compliance, and governance requirements (e.g., SOX, access controls, auditability)
Post-Go-Live Ownership
- Serve as the primary application owner and administrator of the GTreasury platform after final production release
- Manage additional system configuration requests, user access, roles, and ongoing enhancements in line with business requirements after initial release
- Troubleshoot system issues, interface failures, and data discrepancies following GTreasury s SLA s and Oncor s standard troubleshooting mechanisms
- Coordinate vendor support (GTreasury) and manage escalations as needed via the identified support channels
- Oversee system upgrades, releases, and configuration changes across environments as needed
- Maintain system documentation, configuration standards, and release notes
- Act as a key partner between Technology and the Treasury and Accounting teams
- Support process improvements and optimization within the capabilities of the GTreasury platform
- Support audit activities and ensure system compliance with internal controls (e.g., SOX)
- Maintain data integrity and governance standards across the platform
Required Qualifications
- Experience administering or configuring SaaS enterprise applications (TMS, ERP, or similar financial systems)
- Strong understanding of system integrations between SaaS and on-prem platforms
- Hands-on experience supporting system implementations and/or major enhancements
- Ability to troubleshoot technical issues across systems and interfaces
- Experience managing user access, roles, and system configuration
- Strong communication skills with the ability to work directly with business stakeholders
Preferred Qualifications
- Direct experience configuring GTreasury or other Treasury Management Systems
- Familiarity with PeopleSoft Financials (or similar ERP systems)
- Exposure to bank connectivity (SWIFT, APIs, host-to-host, payment files)
- Understanding of treasury operations (cash management, forecasting, payments, etc.)
- Experience working in SOX-controlled environments