Description

  • Experience working in the corporate Treasury domain
  • Client Facing experience
  • Experience in SAP Treasury and Risk Management Module:
  • Transaction Manager (Money Market, FX, Derivatives, Commodities & Securities)
  • Cash and liquidity Management (Payments, Electronic bank statement processing, Cash position and liquidity Forecast)
  • Bank communication Management
  • Risk Analyzers - Credit Risk, Market Risk
  • DMEE tree set up
  • Experience in supporting implementation/support engagements.
  • Experience in building RICEF objects and functional specifications in SAP treasury space
  • Experience in training users on treasury processes
  • Demonstrate good communication and behavioral skills.
  • Ability to work in a high-performance environment.
  • In-house Cash management
  • SAP FICO experience
  • SAP S/4 HANA experience in Cash management and Bank account management
  • Experience in SAP Hedge management
  • Risk Analyzers - Credit Risk, Market Risk

Education

ANY GRADUATE