Urgent Need: SAP Treasury and Risk management (TRM) Consultant || Raritan, NJ – Onsite

 
 
 

Hi,   

 

Hope you are doing well!!                                                                                                                                

  

I have an urgent requirement with one of my client. Please find the job details below and forward me your updated resume along with your contact details at Pavankumar.v@itechus.net or Call Me at 802-778-1770  

 

Position –   SAP Treasury and Risk management (TRM) Consultant
Duration – Longterm Contract
Location – Raritan, NJ – Onsite

 

Need only H1B

 

 Essential Skills: 

  • Should have 13+ years of experience
  • SAP ERP Treasury and Risk management (TRM)
  • SAP S/4HANA Treasury Functional Consultant translates business needs into SAP Treasury solutions, specializing in Treasury and Risk Management (TRM) and Cash Management, ensuring effective cash management and compliance. .Responsibilities:
  • Lead business requirements discussions with customer to implement S/4 Treasury and Risk management solution.
  • Design and implement business processes leveraging best practices.
  • Provide strong technical understanding of the product with the ability to discuss and demonstrate the full platform and how it may be configured to meet a customers business needs.
  • Understand the SAP roadmap for S/4 Treasury and Risk Management, as well as S/4 HANA Cloud solutions, and become a trusted advisor for clients in driving their S/4 Treasury and Risk management adoption.
  • Hands on system configuration expertise of SAP S/4 Treasury and Risk Management and may include team management for both onsite and offshore resources.
  • Proven ability to provide technical direction for complex SAP S/4 Treasury and Risk management issues.
  • Qualifications: Provide consulting solutions including how to leverage standard SAP S/4 Treasury and Risk Management functionality and how to enable requirements while maximizing the ROI.
  • Banking/Treasury, Risk Management Results analysis, US GAAP, IFRS, Cash Mgmt. – including; Cash Position, Forecasting, Manage Bank accounts Treasury and Risk Mgmt – Exposure, Quantify, Transaction Mgmt., and Hedge Accounting, Loans, In-House Cash – Central Payments, Intercompany netting, Cash Concentration
  • SAP Treasury: IHC setup/Electronics bank statements, dunning and payments
  • SAP Banking: Lockbox, electronic bank statements, bank reconciliation.
  • Should be able to articulate and demonstrate S4 Treasury and Risk Management functionalities including Fiori as well as other technical infrastructure requirements

 

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