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.
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Job Category : SAP Treasury
Job Type : Contract
Job Location : hybrid
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SAP Treasury and Risk Management, Fscm, BCM, Bam
Sap Treasury • Bengaluru / Bangalore, India