SAP Treasury & Risk Management (TRM) Consultant
Title: SAP Treasury & Risk Management (TRM) Consultant Location: Remote, Tampa, FL (Eastern time) Duration: 12 months, possibility of extension looking for an SAP Treasury & Risk Management Consultant with global enterprise-level client experience. This person will be able to move things rapidly according to tight timelines and adapt to changes. This person is a subject matter expert in SAP S/4HANA Treasury and Risk Management (TRM), including cash and liquidity management, bank account management, BCM, In-house cash, In House Bank and risk management. They will have in-depth knowledge of Finance domain, Accounts Payable and all treasury related modules and applications. This key role focuses on providing leadership within the Treasury team, developing expert solutions for critical new business requirements, stabilizing and enhancing the existing solution, resolving defects, production break-fixes, working on enhancements and projects as well as providing recommendation regarding optimal business processes, leveraging SAP best practices. The consultant will collaborate with the Product Owners and business partners to understand key objectives and challenges, ensure successful outcomes, and provide the right direction in the dynamic business environment. Core functions:
Skills required but not limited to: Core Module Knowledge : Expert in SAP S/4HANA Treasury functionalities, including cash and liquidity management, bank account management, in-house cash, and risk management. FICO Module Knowledge : Experience with FICO, AP, AR and others such as MM (Materials Management), SD (Sales and Distribution), and analytics platforms. Cash Forecasting: Knowledge of tools and processes in SAP S/4 for cash position reporting and cash and liquidity forecasting. Banking and Reconciliation : Skills in BCM, bank reconciliation processes and configurations within SAP Treasury, cash application, intercompany clearing, netting and mirroring processes. Financial Instruments : Expert in configuring and managing financial instruments like loans, bonds, and derivatives as well as configuring interest and principal repayment calculations, FX hedging product types such as FX spot, forward, NDFs, etc Risk Management: Skills in implementing SAP's tools for FX risk management, interest rate risk, and commodity risk Multi country and currency experience : Experience working with financial instruments and regulations pertaining to multiple countries and currencies. New Company codes and interfaces : Help set up new legal entities and collaborate with multiple teams to set up functional Treasury and Banking modules in various geographies and technical formats. Payment management: Configuring and managing POBO, ROBO, etc and traditional payment functions for business partners and trading partners. Technical Configuration and Customization
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