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Role Overview You will be responsible for designing, implementing, configuring, and supporting SAP Treasury and Risk Management (TRM) solutions to manage liquidity, cash flow, financial risks, and treasury operations. Your role will involve ensuring alignment with business treasury policies, regulatory requirements, and SAP best practices while enabling accurate financial reporting and risk mitigation. Key Responsibilities - Design, configure, and support SAP Treasury and Risk Management functionality including: - Transaction Manager - Cash and Liquidity Management - Risk Analyzer - Hedge Management - Financial Instruments (Money Market, FX, Securities, Derivatives) - Gather and analyze business requirements from Treasury, Finance, and Risk teams. - Translate business requirements into SAP TRM configuration and solution design. - Configure: - Financial transaction types - Product types and flow types - Valuation areas and methods - Accounting and Position Management - Support end-to-end treasury processes such as deal capture, valuation, settlement, and accounting. - Ensure compliance with accounting standards (IFRS, GAAP) related to treasury and hedging. - Integrate SAP TRM with: - SAP FI (GL, AP, AR) - SAP CO - SAP Bank Communication Management (BCM) - SAP Cash Management / Liquidity Management - Participate in testing activities (Unit Testing, SIT, UAT) and defect resolution. - Prepare functional specifications for custom developments and reports. - Provide production support and issue resolution. Qualification Required - 5+ years of relevant experience - Experience and at least 1 implementation experience in TRM - Willingness to go 5 days to client location in Gurgaon Additional Details (if present) N/A Role Overview You will be responsible for designing, implementing, configuring, and supporting SAP Treasury and Risk Management (TRM) solutions to manage liquidity, cash flow, financial risks, and treasury operations. Your role will involve ensuring alignment with business treasury policies, regulatory requirements, and SAP best practices while enabling accurate financial reporting and risk mitigation. Key Responsibilities - Design, configure, and support SAP Treasury and Risk Management functionality including: - Transaction Manager - Cash and Liquidity Management - Risk Analyzer - Hedge Management - Financial Instruments (Money Market, FX, Securities, Derivatives) - Gather and analyze business requirements from Treasury, Finance, and Risk teams. - Translate business requirements into SAP TRM configuration and solution design. - Configure: - Financial transaction types - Product types and flow types - Valuation areas and methods - Accounting and Position Management - Support end-to-end treasury processes such as deal capture, valuation, settlement, and accounting. - Ensure compliance with accounting standards (IFRS, GAAP) related to treasury and hedging. - Integrate SAP TRM with: - SAP FI (GL, AP, AR) - SAP CO - SAP Bank Communication Management (BCM) - SAP Cash Management / Liquidity Management - Participate in testing activities (Unit Testing, SIT, UAT) and defect resolution. - Prepare functional specifications for custom developments and reports. - Provide production support and issue resolution. Qualification Required - 5+ years of relevant experience - Experience and at least 1 implementation experience in TRM - Willingness to go 5 days to client location in Gurgaon Additional Details (if present) N/A
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