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Role Overview: As a SAP TRM Consultant, your role involves designing, implementing, configuring, and supporting SAP Treasury and Risk Management solutions. You will be responsible for managing liquidity, cash flow, financial risks, and treasury operations. Your main focus will be to ensure 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 and translate them into SAP TRM configuration and solution design. - Configure financial transaction types, product types, flow types, valuation areas and methods, accounting, and position management. - Support end-to-end treasury processes such as deal capture, valuation, settlement, and accounting while ensuring compliance with accounting standards. - Integrate SAP TRM with SAP FI, SAP CO, SAP Bank Communication Management, and SAP Cash Management/Liquidity Management. - Participate in testing activities and prepare functional specifications for custom developments and reports. - Provide production support, issue resolution, and ensure master data quality and governance for treasury objects. Qualification Required: - Strong expertise in SAP Treasury and Risk Management (TRM) with knowledge of SAP FI integration. - Experience with SAP S/4HANA Finance and familiarity with SAP Fiori apps for Treasury are preferred. - Solid understanding of treasury operations, cash management, foreign exchange (FX), interest rate instruments, risk management concepts, financial accounting, reporting, treasury regulations, and compliance requirements. - Strong analytical, problem-solving, stakeholder communication, documentation, presentation, team collaboration, and stakeholder management skills. - Bachelors degree in Finance, Accounting, Business, or Information Systems. SAP Certifications in SAP S/4HANA Financial Accounting and SAP Treasury and Risk Management, along with professional finance certifications (CA, CFA, CPA, FRM), are preferred and considered an added advantage. Role Overview: As a SAP TRM Consultant, your role involves designing, implementing, configuring, and supporting SAP Treasury and Risk Management solutions. You will be responsible for managing liquidity, cash flow, financial risks, and treasury operations. Your main focus will be to ensure 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 and translate them into SAP TRM configuration and solution design. - Configure financial transaction types, product types, flow types, valuation areas and methods, accounting, and position management. - Support end-to-end treasury processes such as deal capture, valuation, settlement, and accounting while ensuring compliance with accounting standards. - Integrate SAP TRM with SAP FI, SAP CO, SAP Bank Communication Management, and SAP Cash Management/Liquidity Management. - Participate in testing activities and prepare functional specifications for custom developments and reports. - Provide production support, issue resolution, and ensure master data quality and governance for treasury objects. Qualification Required: - Strong expertise in SAP Treasury and Risk Management (TRM) with knowledge of SAP FI integration. - Experience with SAP S/4HANA Finance and familiarity with SAP Fiori apps for Treasury are preferred. - Solid understanding of treasury operations, cash management, foreign exchange (FX), interest rate instruments, risk management concepts, financial accounting, reporting, treasury regulations, and compliance requirements. - Strong analytical, problem-solving, stakeholder communication, documentation, presentation, team collaboration, and stakeholder management skills. - Bachelors degree in Finance, Accounting, Business, or Information Systems. SAP Certifications in SAP S/4HANA Financial Accounting and SAP Treasury and Risk Management, along with professional finance certifications (CA, CFA, CPA, FRM), are preferred and considered an added advantage.
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