Padmi

SAP HANA FIN TR (Treasury) Consultant - SAP S/4HANA

IndiaPosted 3 months ago
Computer Systems AnalysisSeniorFull Time; Regular
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As an SAP HANA FIN TR (Treasury) Consultant specializing in SAP S/4HANA, your role will be crucial in designing, implementing, and supporting end-to-end treasury processes. Your expertise in SAP Treasury and Cash Management will be key in ensuring effective liquidity management, cash visibility, banking integration, and financial risk control. Key Responsibilities: - Design, implement, and support end-to-end treasury processes - Ensure effective liquidity management and cash visibility - Implement banking integration and financial risk control measures - Provide expertise in SAP S/4HANA Cash & Liquidity Management - Execute Bank Account Management (BAM) tasks - Develop and maintain liquidity forecasting and cash position reporting systems - Collaborate with banking partners for seamless integrations - Utilize strong SAP configuration and implementation skills for optimal results Qualifications Required: - 510 years of experience in SAP Treasury / FIN TR module - Strong knowledge of SAP S/4HANA Cash & Liquidity Management - Experience in Bank Account Management (BAM) - Proficiency in liquidity forecasting and cash position reporting - Understanding of banking integrations and treasury operations - Demonstrated experience in SAP configuration and implementation Please note that the above qualifications and responsibilities are essential for excelling in this role. As an SAP HANA FIN TR (Treasury) Consultant specializing in SAP S/4HANA, your role will be crucial in designing, implementing, and supporting end-to-end treasury processes. Your expertise in SAP Treasury and Cash Management will be key in ensuring effective liquidity management, cash visibility, banking integration, and financial risk control. Key Responsibilities: - Design, implement, and support end-to-end treasury processes - Ensure effective liquidity management and cash visibility - Implement banking integration and financial risk control measures - Provide expertise in SAP S/4HANA Cash & Liquidity Management - Execute Bank Account Management (BAM) tasks - Develop and maintain liquidity forecasting and cash position reporting systems - Collaborate with banking partners for seamless integrations - Utilize strong SAP configuration and implementation skills for optimal results Qualifications Required: - 510 years of experience in SAP Treasury / FIN TR module - Strong knowledge of SAP S/4HANA Cash & Liquidity Management - Experience in Bank Account Management (BAM) - Proficiency in liquidity forecasting and cash position reporting - Understanding of banking integrations and treasury operations - Demonstrated experience in SAP configuration and implementation Please note that the above qualifications and responsibilities are essential for excelling in this role.

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