Raritan, NJ, Raritan, NJ, United States [ View map ]
Job Title
S4
HANA FSCM
Relevant Experience
(in
Yrs)
08-12years
in SAP FSCM (TRM)
Must Have Technical/Functional Skills
1.
8+ years of SAP FSCM (TRM) projects experience
2.
4+ years in S4 HANA projects
3.
S4 Hana Treasury Implementation Project experience preferred
4.
Minimum 2 E2E implementations.
5.
Configuration Knowledge of SAP FICO
6.
Interface knowledge for data migration from SAP/Non-SAP systems using LTMC.
7.
Good knowledge of SAP-CFIN
8.
Good knowledge of PAPM & DDGR Module.
9.
Good knowledge of MDG.
Experience Required
08-12years in SAP FSCM
(TRM)
Roles & Responsibilities
Focus on S/4 HANA Financial Supply Chain
Management (FSCM) Process Integration areas of SAP. Provide innovation
and generate business value for customers on the latest SAP HANA
platform.
Expertise in FSCM/ Treasury consultant with lead
consulting roles in SAP banking and Treasury projects in healthcare
projects
Expertise in configuration and support of Cash
Management (cash position, liquidity forecast, electronic bank
statement, payment processing, account reconciliation, lockbox, and
payments) as well as Transaction Manager (FX and Derivative Instruments)
Expertise in Bank Communications Management
(Batching and Swift Integration)
Responsible for all cash management functions:
Payments/Disbursements, Cash Accounting, Bank Account Management,
Account Reconciliation and Cash Management Security and Controls
Expertise of Treasury management of an
enterprise's holdings, with goal of managing firm' s liquidity and
mitigating its operational, financial and reputational risk and
expertise in multiple modules within SAP Treasury.
Expertise/support of In-House Cash, A/P and
Treasury Automatic Payment Programs, IDOC creation/troubleshooting,
Configuration of electronic bank statements, and testing of the IHC end
of day process and development and maintenance of supporting detail documentation.
Calculated daily liquidity forecast, monitored
payment transactions for vendors, cash pooling, loan interest/repayment
and salaries, Intercompany netting reconciliations, reconciliations of
bank and clearing accounts, central bank reporting, processing of
incoming checks, manual cash pooling, and month-end close activities.
Expertise in developing new Treasury management
business and expanding existing business process.
Created Business Requirement Document (BRD),
Functional Requirement Specification (FRS) document, User Requirement
Specification (URS) and Change Request (CR) document for system
application development.
You are posting as a guest.
If you have an account, sign in now to post with your account.
Note: Your post will require moderator approval before it will be visible.
Recommended Comments
There are no comments to display.
Join the conversation
You are posting as a guest. If you have an account, sign in now to post with your account.
Note: Your post will require moderator approval before it will be visible.