Spring, Texas, United States
I spent years as a consultant, telling treasury teams how to fix their systems. The advice was usually right. Watching it sit unbuilt in slide decks got old, so I stopped advising and started building. Brisken is what came of that. We make AI-powered software that runs treasury operations directly on your SAP data: cash, trading, market data, remittances. It isn't another dashboard, and it isn't a roadmap of someday features. It runs in production, with real customers, today. How it fits together is simple. TreasuryCentral is the single screen your team works in. Underneath it, OnePilot, our AI layer, does the actual work, operating Market Data Hub, Brisken Smart Trading and the Remittance Advice Gate across your SAP data, governed from end to end. Your people set the rules and approve the exceptions; the agents handle the rest. The manual handoffs disappear; the audit trail doesn't. Some proof, because it matters more than claims: a customer in agriculture now posts remittances into S/4HANA through a governed AI gate, with nobody retyping anything; a financial-services group runs several data domains from one OnePilot deployment. Brisken is an SAP Co-Innovation Partner, listed on the SAP Store, built on SAP BTP, ISO 27001 and SOC 1 Type II. I'm an innovator at heart, deep in AI, and genuinely allergic to buzzwords. If your treasury still runs on manual handoffs and good intentions, I'd enjoy an honest conversation about it. You'll find me at brisken.com.
Co-founder of this FinTech startup company. Our core product is the T+ Framework, a codeless framework for the creation of SAP extensions. We have built a series of apps using our framework: Market Data Governance for SAP, Trading Platform Integration for SAP TRM, Reference & Master Data Hub, Credit Data Portal, Cash Management Toolbox. Responsible for the solution design and the go-to-market strategy of the company.
On invitation by SAP Product Management. Testing Delta functions for Cash Management on HANA.
Responsible for the design and implementation of numereous projects on an existing SAP Treasury installation. Implementation of Money Market (commercial papers), Derivatives (interest rate swap, including flat compounding swaps, cross currency interest rate swap, basis swaps), Securities (investments in CP, Bonds, CD), the activation of the credit risk analyzer (CRA) for the securities module. Supported the client in various key enhancements. Key support in the definition and elaboration of the Treasury Road Map.
Designing and implementing SAP Treasury & Risk Management solutions, based on the suite of modules and functionalities grouped together as FSCM - Financial Supply Chain Management by SAP. Specific focus on Treasury & Risk Management (TRM), Exposure Management and Hedge Accounting, payment factories based on In-House Cash (IHC), FX trade execution with integration of third party trading platforms, Cash & Liquidity Management (CLM).
SAP Bootcamp to collect feedback on the newest Cash Management on HANA release. The feedback from the Bootcamp was used to make adjustments to the next release as well as later releases of the new solution. SAP regularly relies on IAM as a prime partner in the Treasury and Cash Management space to test beta releases and give feedback on current and future developments.