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SAP Treasury Risk Management

  • Full Time, onsite
  • International Information Technology Team, Inc.
  • On Site Hybrid, United States of America
Salary undisclosed

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Role: SAP Risk Management

Duration: 12 + Months

Client Location : East Coast of USA

Total experience of 9+ years in SAP that includes SAP Treasury & Risk Management encompassing Transaction Manager (Money Market, Foreign Exchange, Derivatives, Securities etc.), Cash Position, Liquidity forecasting, Market Risk Analyzer, Credit Risk Analyzer, Payment Factory, In-house Cash & banking, Bank Communication Management and Bank Account Management

Minimum 2 end to end Implementations of SAP solutions in a global context.

Working knowledge of Treasury processes including Front office, Back office, Accounting, position management, Risk analysis, Limit management.

Working knowledge of daily liquidity forecast, payments, cash pooling, loan interest/repayment.

Experience in cut over planning and execution for Finance objects and interdependencies is desired.

Experience in writing Functional Specifications for ABAP objects (Reports, Interfaces, Enhancements, Forms, Workflows)

Experience working with diverse teams for big programs will be an advantage.

Understanding of the e-invoicing solutions and regulatory Compliances including VAT filing and E-reporting

Experience in Testing (Unit Testing, User Acceptance Testing and Integration Testing), End User training, Final preparation, Go-Live and project support.

Sound understanding of Master Data, Functional and Document Data, integration between SAP ECC6, SAP MDG & SAP Central Finance

Exposure to SNOW/JIRA etc

Exposure to FIORI/low code applications is preferred

Employers have access to artificial intelligence language tools (“AI”) that help generate and enhance job descriptions and AI may have been used to create this description. The position description has been reviewed for accuracy and Dice believes it to correctly reflect the job opportunity.
Report this job

Role: SAP Risk Management

Duration: 12 + Months

Client Location : East Coast of USA

Total experience of 9+ years in SAP that includes SAP Treasury & Risk Management encompassing Transaction Manager (Money Market, Foreign Exchange, Derivatives, Securities etc.), Cash Position, Liquidity forecasting, Market Risk Analyzer, Credit Risk Analyzer, Payment Factory, In-house Cash & banking, Bank Communication Management and Bank Account Management

Minimum 2 end to end Implementations of SAP solutions in a global context.

Working knowledge of Treasury processes including Front office, Back office, Accounting, position management, Risk analysis, Limit management.

Working knowledge of daily liquidity forecast, payments, cash pooling, loan interest/repayment.

Experience in cut over planning and execution for Finance objects and interdependencies is desired.

Experience in writing Functional Specifications for ABAP objects (Reports, Interfaces, Enhancements, Forms, Workflows)

Experience working with diverse teams for big programs will be an advantage.

Understanding of the e-invoicing solutions and regulatory Compliances including VAT filing and E-reporting

Experience in Testing (Unit Testing, User Acceptance Testing and Integration Testing), End User training, Final preparation, Go-Live and project support.

Sound understanding of Master Data, Functional and Document Data, integration between SAP ECC6, SAP MDG & SAP Central Finance

Exposure to SNOW/JIRA etc

Exposure to FIORI/low code applications is preferred

Employers have access to artificial intelligence language tools (“AI”) that help generate and enhance job descriptions and AI may have been used to create this description. The position description has been reviewed for accuracy and Dice believes it to correctly reflect the job opportunity.
Report this job