SAP Treasury Consultant

DCM INFOTECH LIMITED

  • Parsippany, NJ
  • 6 days ago

    Highlights

    The role requires deep functional expertise across SAP Multi Bank Connectivity (MBC), Cash & Liquidity Management, In House Banking (IHB), and Debts, Investments & Capital Markets. This role requires strong executive presence, as it involves regular interaction with senior business leaders to ensure SAP S/4HANA Treasury solutions are aligned with business requirements, regulatory controls, and industry best practices.

    Numbers & Facts

    LocationParsippany, NJ

    Description

    This role requires strong executive presence, as it involves regular interaction with senior business leaders to ensure SAP S/4HANA Treasury solutions are aligned with business requirements, regulatory controls, and industry best practices.

    Role Summary:

    The SAP Treasury Consultant is responsible for the design, configuration, and implementation of SAP S/4HANA Treasury & Risk Management (TRM) solutions. The role requires deep functional expertise across SAP Multi Bank Connectivity (MBC), Cash & Liquidity Management, In House Banking (IHB), and Debts, Investments & Capital Markets.

    Required Skills & Experience

    Strong functional experience in SAP S/4HANA Treasury & Risk Management (TRM).

    Proven expertise in Cash & Liquidity Management, including configuration and forecasting, with hands on experience in:

    • SAP Multi Bank Connectivity (MBC) and Bank Communication Management (BCM)
    • Bank Account Management (BAM) and BAM Reporting
    • Bank statement processing and reconciliation, including intraday polling
    • Cash position reporting and liquidity forecasting
    • Treasury payment processing and cash concentration
    • Advanced Payment Management (APM)

    Deep functional knowledge of In House Banking (IHB), with hands on experience in:

    • Intercompany netting and internal settlements
    • Pay on Behalf (POBO) and Receive on Behalf (ROBO)
    • Cash pooling and internal account structures
    • Day end and period end accounting
    • "In Name Of” payment forwarding

    Experience in Debts, Investments, and Capital Markets, with hands on expertise in:

    • Treasury business partner setup and maintenance
    • Management of Letters of Credit and Revolving Credit Facilities
    • Intercompany loans, term loans, and senior notes
    • Derivative instruments, including interest rate swaps and cross currency swaps
    • Investment instruments such as time deposits and money market funds (MMF)
    • Foreign exchange transactions (FX Forwards)
    • Month end treasury reporting
    • Preferred stock management

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