Project description
We are seeking an experienced SAP Treasury & Risk Management (TRM) Expert to join our team and lead the implementation, configuration, and support of the Transaction Manager module within SAP. This role will focus on end-to-end processes for Money Market, Foreign Exchange, Derivatives, Securities, Debt, and Investment instruments. The ideal candidate will bring deep knowledge of financial markets, SAP TRM modules, integration points with other SAP components (like FI, CO, and Cash Management), and experience working with both business stakeholders and technical teams.
Responsibilities
- Design, configure, and implement SAP TRM modules with a focus on Transaction Manager across:Money Market (MM)Foreign Exchange (FX)DerivativesSecuritiesDebt ManagementInvestment ManagementEngage with finance and treasury teams to understand business requirements and translate them into functional SAP solutions.Support full project lifecycle activities: blueprinting, configuration, testing, cutover, training, and hypercare.Develop and maintain comprehensive documentation including functional specifications, configuration documents, test scripts, and training materials.Collaborate with SAP technical consultants (ABAP) to develop custom enhancements and reports where required.Ensure smooth integration with SAP FI, CO, Cash & Liquidity Management, Market Risk Analyzer, and external trading platforms (e.g., Bloomberg, 360T).Provide post-implementation support, troubleshoot issues, and optimize existing processes.Stay current with SAP innovations in Treasury & Risk Management (e.g., S/4HANA Finance for Treasury).
SKILLS
Must have
- MUST be SAP Treasury & Risk management expertMust have experience in encompassing Transaction manager (Money Market, Foreign Exchange, Derivatives, Securities, Debt and Investment)Bachelor's or Master's degree in Finance, Accounting, Business Administration, Information Systems, or related field.6+ years of hands-on SAP TRM experience, specifically with Transaction Manager.Strong knowledge of financial instruments and market operations in MM, FX, Derivatives, Securities, Debt, and Investment.Proven experience in at least one full-cycle SAP Treasury implementation or upgrade project.Understanding of IFRS and hedge accounting principles as they relate to treasury operations.Familiarity with SAP Market Risk Analyzer and Credit Risk Analyzer is a plus.Experience with SAP S/4HANA is highly desirable.Strong analytical skills, problem-solving capabilities, and attention to detail.Excellent communication and stakeholder management skills.
Nice to have
SAP Certified Application Professional - Treasury and Risk ManagementFinancial Risk Management (FRM) or CFA certificationPMP or similar project management certification