Role & responsibilities :
- Design, configure, implement, and support SAP Treasury and Risk Management (TRM) solutions.
- Configure and manage Transaction Manager, Cash & Liquidity Management, Risk Analyzer, and Hedge Management modules.
- Handle treasury processes including deal capture, valuation, settlement, accounting, and reporting.
- Gather business requirements from Treasury, Finance, and Risk Management teams and translate them into SAP solutions.
- Configure financial transaction types, product types, flow types, valuation areas, and accounting settings.
- Ensure compliance with IFRS, GAAP, and treasury regulatory requirements.
- Integrate SAP TRM with SAP FI, SAP CO, SAP BCM, and Cash Management modules.
- Collaborate with ABAP and technical teams for enhancements, interfaces, and custom developments.
- Support market data integration, bank connectivity, and external treasury systems.
- Participate in Unit Testing, SIT, UAT, defect resolution, and production support activities.
- Manage treasury master data, data migration, and cutover activities.
- Prepare functional specifications, documentation, and end-user training materials.
Preferred candidate profile :
- 5 to 10 years of overall SAP experience with strong expertise in SAP Treasury & Risk Management (TRM).
- Hands-on experience in Transaction Manager, Cash Management, Risk Management, and Hedge Accounting.
- Strong knowledge of Treasury Operations, FX, Interest Rate Products, Securities, and Derivatives.
- Experience in SAP FI integration and financial accounting processes.
- Exposure to SAP S/4HANA Finance and SAP Fiori Treasury applications is preferred.
- Good understanding of IFRS, GAAP, and treasury compliance requirements.
- Strong analytical, troubleshooting, and stakeholder management skills.
- Excellent communication and documentation abilities.
- Experience in end-to-end SAP implementation, rollout, or support projects.
(ref:hirist.tech)