01Responsibilities
- Conduct Business Blueprint design workshops to gather requirements and understand the client's business processes.
Lead end-to-end SAP TRM implementations, including Blueprinting, Configuration, and User Acceptance Testing (UAT)
Optimize cash management, liquidity planning, bank communication, and hedge accounting.
Utilize Market Risk Analyzer and Credit Risk Analyzer to mitigate financial risks.
Prepare functional gaps analysis by identifying areas where standard SAP S4 HANA TRM functionalities need enhancements or customization
Handle complex enhancements in TRM requirements, ensuring the solution aligns with the client's business requirements.
Provide guidance and support to end-users during testing, training, and post-go-live phases.
Professional & Technical Skills:
Strong experience in SAP Treasury and Risk Management (TRM) implementation, support, and enhancement projects.
Expertise in Cash Management, Liquidity Management, Bank Communication Management (BCM), Debt & Investment Management, and Financial Risk Management.
Hands-on experience in managing Money Market, Foreign Exchange (FX), Securities, Loans, and Derivatives transactions.
Good understanding of treasury accounting, valuation, hedge management, and financial reporting processes.
Experience in configuration, testing, UAT, and production support activities.
Strong knowledge of integration with SAP FI, FSCM, and Bank Interfaces.
Ability to gather business requirements and prepare functional specifications.
Use AI copilots to prepare functional documents, validate configuration logic, generate test cases, and automate repetitive documentation
Awareness of AI tool limitations and Agentic AI usage in finance and risk domains
Additional Information:
The candidate should have minimum 12 years of experience in SAP FSCM Treasury and Risk Management (TRM).
A 15 years full time education is required.
Candidate must be a qualified CA / ICWA / MBA Finance/M. Com in a reputed institution with a sound industry/domain experience and SAP relevant experience between 3 to 7 years
Must have at least 2 end-to-end implementation experience and strong hands-on experience in SAP Treasury and Risk Management (TRM) module.
Proficiency in S/4HANA Finance with a focus on Treasury, Cash, and Liquidity Management
Experience in Cash Management, Bank Communication Management (BCM), and In-House Cash (IHC)
Good understanding of Credit Risk, financial instruments, and exposure management.
Familiarity and Hands on experience with SAP FICO concepts, including GL, AP, AR, and Asset Accounting.
Knowledge of integration with FI, CO, MM, and external banking systems.
Candidate should be capable to understand the existing Legacy as-is application & business set up and implement in SAP all the sub-modules of SAP treasury.
Position is based out of Bengaluru - Whitefield office / client location .