Job Description

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.
About the Role
Location: Pan India
SAP S/4Hana_RTR-FI-Treasury Consultant (SAP Advance Treasury) min. 10 Years of experience- Knowledge of SAP S/4HANA Financial Accounting (FI) and knowledge of FSCM (Dispute / Collection / Credit Mgmt). Most recent experience in S/4 HANA Implementation / System Conversion / Landscape Transformation using AGILE/ SAP ACTIVATE methodology in Finance.
Responsibilities and Required Skills
- 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,...

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