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About the role
States considered: All Role Description POSITION SUMMARY Zoetis, the leading animal health company, is seeking a dynamic and experienced SAP Product Expert for Treasury. This role is pivotal to the success and growth of Zoetis aligning with the company's overall business objectives and growth ambitions. The role will be involved in managing and optimizing the company's treasury operations using the SAP Treasury and Risk Management, focusing on tasks like cash flow forecasting, bank account management, financial transactions, hedge accounting, and liquidity planning, by maintaining the SAP Treasury module to meet specific business needs; The role wil also require expertise in financial processes, system implementation, and collaboration with cross-functional teams within the organization Responsibilities: Provide end-to-end solution support across SAP Treasury, Risk Management and Cash Management modules, focusing on tasks like cash flow forecasting, bank account management, financial transactions, hedge accounting, and liquidity planning, ensuring alignment with business requirements and industry best practices. Generating reports on key treasury metrics, including cash positions, exposure analysis, and financial performance indicators Ensuring seamless data flow between SAP Treasury and other modules like General Ledger (G/L) and Sales & Distribution (SD). Support a robust governance framework and document detailed standard operating procedures (SOPs) for front-office, middle-office, and back-office operations within Treasury and Risk Management. Clearly define roles, responsibilities, and data flows in adherence to established treasury policies. Develop and implement strategies for process enhancements, including bank rationalization, operating model optimization, cash pooling, In-House Banking, cash management, and cash forecasting, to meet the evolving needs of the treasury organization. Partner with banking partners and internal stakeholders (Tax, Legal, IT, AR/AP, Controllership, etc.) to lead initiatives that define and execute Treasurys transformation and cash management architecture strategy. Collaborate with cross-functional teams to support project seamless delivery. Identify and resolve issues promptly within SLA guidelines, providing ongoing support to business users. POSITION RESPONSIBILITIES In order of importance, list the primary responsibilities critical to the performance of the position. It is recommended not to list actual tasks but focus on essential responsibilities that highlight accountability and level of judgment required. Support design and implementation of comprehensive solutions for SAP Treasury modules, including rollouts, enhancements. Ensure operational efficiency and meet key performance indicators (KPIs). Ensure Testing-Quality Assurance, Process Optimization-Automation, Reporting-Analytics and Governance-Compliance Proficiency in delivering WRICEF objects, ensuring seamless cross-functional integration and efficient integration with external systems for streamlined business processes. EDUCATION AND EXPERIENCE Education: Bachelors degree in computer science, Information Technology, or a related field. Masters degree preferred. Experience: Minimum of 8 years of experience in IT, with at least 5 years in a product management role focused on SAP Treasury Management Systems. 8+ years of overall experience in SAP with 5+ years experience in Treasury, Risk and Cash Management modules. Hands-on experience in S/4 Hana Treasury implementation. Expertise in configuring Money Market, Forex, Securities, Derivatives, Trade Finance, Exposure and Hedge Management and Accounting, with end-to-end process knowledge. Experience with integration of external applications such as FXALL, Finastra, and DTCC. Knowledge of FSCM, Cash & Liquidity Management, and financial accounting. Familiarity with Bank Communication Management (BCM), Bank Account Management (BAM), and Advanced Payment Management, including IHB (In-House Bank) and MBC (Multi-Bank Connectivity). Strong analytical and communication skills with a proactive approach to problem-solving Experience in Implementation, Enhancements, Production Support Projects. Hands-on experience with testing methodologies, incident/change management tools, and project documentation tools. TECHNICAL SKILLS REQUIREMENTS Technical Skills: Expertise in solution design, configuration of Treasury transaction manager and relates processes: Money Market, Foreign Exchange, and Derivatives. Third Party Debt Management, Securities. Trade Finance and Commodities. Working Experience in Hedging Management, Exposure Management and Hedge Accounting. Experience in Credit and Market risk analyzer. Knowledge in In-House Banking, Intercompany Netting, Intercompany FX Back-to-Back & Mirroring. Exposure in Bank Account and Bank Communication Management and Cash Management. Knowledge and exposure to FSCM.
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