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Hiring: SAP TRM (Treasury & Risk Management) Senior Consultant Location: Faridabad Work Mode: 5 Days Work From Office (WFO) Experience: 5- 8+ Years Job Summary We are looking for an experienced SAP Treasury & Risk Management (SAP TRM) Senior Consultant to join our team. The ideal candidate should have solid functional expertise in SAP Treasury, Risk Management, Cash & Liquidity Management, In-House Cash, and Bank Communication Management. The role involves working closely with business stakeholders to deliver SAP Treasury solutions, support implementations, and optimize treasury operations. Key Responsibilities - Manage cash flows, liquidity planning, and cash forecasting within SAP Treasury. - Configure and support SAP Treasury & Risk Management (TRM) solutions. - Analyze and mitigate financial risks, including interest rate, foreign exchange, and commodity risks. - Manage treasury financial instruments such as FX deals, money market instruments, derivatives, and securities. - Configure and support SAP In-House Cash for centralized payment and collection processes. - Handle Bank Communication Management (BCM), payment processing, and payment file formats. - Generate real-time cash position, liquidity forecasts, and treasury management reports. - Ensure seamless integration between SAP Treasury and SAP Finance (FI/CO). - Support hedge accounting processes in compliance with accounting standards. - Ensure adherence to financial regulations, governance, and internal controls. - Work with SAP's modern treasury interfaces and integration technologies. - Participate in SAP TRM implementation, rollout, upgrade, and support projects. - Collaborate with cross-functional teams and business stakeholders to deliver high-quality solutions. Required Skills - 5- 8+ years of experience in SAP Treasury & Risk Management (SAP TRM). - Strong hands-on experience in: - SAP Treasury & Risk Management (TRM) - Cash & Liquidity Management - In-House Cash (IHC) - Bank Communication Management (BCM) - Hedge Management & Hedge Accounting - Treasury Financial Instruments (FX, Money Market, Securities, Derivatives) - Cash Position & Liquidity Forecasting - Treasury Reporting & Analytics - Good understanding of SAP FI integration. - Knowledge of treasury processes, financial regulations, and internal controls. - Experience in SAP TRM configuration and customization. - Excellent analytical, communication, and stakeholder management skills. Mandatory Requirements - Minimum 1 end-to-end SAP TRM Implementation Project. - SAP Treasury & Risk Management Certification is mandatory. - Willingness to travel based on project requirements. Preferred Qualification - Bachelor's degree in Commerce, Engineering, Science, or a related discipline. - Experience working in consulting or client-facing environments. - Strong verbal and written communication skills. Work Model - Location: Faridabad - Work Mode: 5 Days Work From Office (WFO) - Willingness to travel to client locations whenever required. Interested candidates can share their updated resume at hr@runmapglobal.com .
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