Description:
- Experience - 4-8 Years experience.
- Job Type - Contract with client.
- Location - Hybrid Bangalore, Hyderabad,Mumbai kolkata Gurgaon, Noida 2nd Shift 2-11 PM.
Job Description:
Treasury and Risk Management:
- Utilize expertise in Treasury modules such as MM, FX, and Derivatives to manage facilities, letters of credit, bills, loans, deposits, currency spots, options, swaps, forwards, and non-deliverable forwards.
- Analyze treasury processes and risks, identify solutions, and implement them in SAP Treasury and Corporate Finance.
Cash And Liquidity Management:
- Provide expertise in cash and liquidity management, banking, customer cash application, and end-to-end banking processes.
- Work with clients to understand their business processes and propose areas for improvement.
Collaboration And Solution Design:
- Collaborate with cross-functional teams to gather business requirements and design innovative solutions.
- Conduct client demonstrations and presentations, showcasing the advantages of S/4 HANA Finance solutions.
Process Optimization:
- Analyze finance processes to identify areas for improvement and optimize solutions accordingly.
- Support and document conceptual work, rollouts, and training impartation.
End User Training And Support:
- Provide hands-on training to end users and offer ongoing support.
- Develop support activities for interfaces and IDOCs.
Technical Skills Required:
- Strong experience in SAP Treasury and Risk Management, FSCM, IHC, BAM, BCM, and MBC.
- Expertise in cash and liquidity management, banking processes, and customer cash applications.
- Extensive understanding of business processes and the ability to learn new concepts.
Job Category: SAP Treasury.
Job Type: Contract.
Job Location: hybrid.
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