Remotery

Senior SAP Treasury Consultant – TRM

Posted 4 hours ago

This is a fully remote position, open to applicants in India.

📋 Description

• Execute comprehensive SAP Treasury implementations encompassing scoping, planning, design, configuration, testing, and go-live phases.

• Set up SAP Treasury and Risk Management across Transaction Manager, integrating money market, loans, foreign exchange, hedge management, securities and derivatives, as well as cash and liquidity management.

• Implement hedge management and hedge accounting processes, including designation, effectiveness testing, and related accounting practices.

• Establish in-house cash and payment factory structures along with bank connectivity, which includes correspondence and market data integration.

• Convert client treasury requirements into SAP solutions while providing guidance on best practices and optimal use of standard functionalities.

• Manage workstreams to ensure adherence to scope, quality, and timelines while proactively identifying and escalating risks.

• Collaborate within cross-functional teams that include technical, functional, and client resources.

• Keep client stakeholders informed on progress, timelines, risks, and deliverables, and address any issues promptly.

• Offer clients advice regarding their treasury technology landscape, existing practices, future roadmap, and vendor selection.

• Recognize and pursue new business and project opportunities both in India and internationally.

• Assist in the creation of proposals, RFPs, client presentations, and networking activities.

• Stay updated with the latest SAP Treasury releases and functionalities, sharing insights with the broader team.

• Contribute to the growth of the India practice through internal initiatives, knowledge-sharing sessions, and team culture enhancement.


⛳️ Requirements

• Three to five years of experience specifically in implementing and configuring SAP Treasury and Risk Management (TRM) — distinct from general SAP Finance experience.

• Practical configuration experience across Transaction Manager, including money market, loans, foreign exchange (including hedge management), securities and derivatives (IRS, swaps, options, futures), along with cash and liquidity management.

• Familiarity with corporate treasury processes such as treasury and risk management, cash management, in-house banking, payment factories, and bank connectivity.

• Experience with related tools like SWIFT, trading portals, and market data providers.

• Proven track record of owning your own workstream during implementation projects.

• Ability to work directly with clients to address complex challenges.

• Proficient in business English.

• Willingness to travel within Asia and to Europe as project needs arise.

• SAP certification in Treasury and Risk Management or a related module is advantageous.

• Knowledge of SAP In-House Cash, Advanced Payment Management, Bank Communication Management, or Multi-Bank Connectivity is a plus.

• Familiarity with Market Risk Analyzer or Credit Risk Analyzer is beneficial.

• Experience in configuring correspondence, confirmations, and market data feeds is valued.

• Background in a consulting environment is considered advantageous.

• A Bachelor's or Master's degree in finance, accounting, engineering, or a related field is preferred.


🏝️ Benefits

• A hybrid work environment that encourages a healthy work-life balance.

• Inclusion in the Zanders bonus scheme.

• 28 paid holiday days.

• Provision of a laptop and an iPhone.

• An entrepreneurial culture that prioritizes personal development with significant opportunities for initiatives.

• Expertise development in your chosen field, rapidly enhancing skills alongside diverse clients and consultants.

• A truly collaborative environment with enthusiastic and supportive colleagues, promoting career excellence in Treasury, Risk, or Technology.

• An annual Zanders trip to a surprise location in Europe.

• Assistance with visa arrangements for international project work.

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