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You will be updated with latest job alerts via emailSAP FI Treasury Risk Cash Liquidity Mgmt
Location-Any Wipro ODC.
Band-C1
JD:
JD-SAP FI Treasury Risk Cash Liquidity Mgmt
9 years in SAP FICO/FSCM/Treasury configuration and support.
2 full lifecycle implementations (from blueprinting to post-go-live).
Required Skills:
- Proficient in SAP Finance (New GL AP/AR Asset Accounting) Controlling (CCA PCA PA) sub modules.
Configure and customize SAP FICO modules (GL AP AR AA CO-CCA PCA IO CO-PA).
Familiarity with SAP S/4HANA Treasury (TRM) In House Cash (IHC) process. Cash and Liquidity Management (CAM) Bank Communication Management (BCM).
Hands-on expertise in FSCM Credit Management (credit limit checks scoring) Collections Management (workflows dunning) - Credit scoring limit monitoring and Treasury and Risk Management (TRM). Hedge Management Treasury Risk Analyzer and integration with FI. (hedge accounting FX/commodity exposure).
Experienced in Treasury Exchange rate automation integration with other applications.
Knowledge of integration with banking systems (e.g. SWIFT IDOCs). Electronic bank statements Payment Medium Workbench (PMW).
Collaborate with finance/IT teams to gather requirements troubleshoot issues and develop custom solutions (e.g. ABAP enhancements). Experienced in handling custom enhancements prepare functional & Technical Specifications (FTS) documentation in collaboration with technical team.
Ensure seamless integration with SD MM PP and other SAP modules.
Conduct end-user training create documentation (functional specs test cases) and support month/year-end processes.
- Conduct testing (unit integration UAT) and resolve defects.
- Provide post-go-live support troubleshooting and end-user training.
- Experience with S/4HANA migration projects would be advantage.
Full-time