Sap Corporate Finance Consultant And Developer (Hybrid)
Job Summary
SAP CORPORATE FINANCE CONSULTANT AND DEVELOPER (HYBRID PORTO)
Portuguese company hires for hybrid position
Location: Porto Portugal
Only candidates already based in Portugal will be considered
Work Model: Hybrid (2 days/week on-site)
Language Requirements: Fluent English Portuguese (native)
Seniority: Mid-Level (3 years)
Sector: Banking
Instructions: Please send your CV in English and make sure to include all skills and experience that match the requirements of the opportunity. This will significantly increase your chances of success
We can consider candidates fromany region of Portugal provided they are available to travel to Portosporadically only when truly necessary.
To be more specific whennecessary the travel will be approximately 1 to 2 days per month. However weemphasize that trips will only take place if they are effectively justified.
About the Opportunity
A leading company in the Automotive Tech sector is looking for a SAP Corporate Finance Consultant & Developer to join an international environment focused on Digital Finance transformation ERP template evolution and Corporate Finance product teams.
This role is ideal for professionals who combine strong SAP Finance/Treasury functional knowledge with solid SAP development expertise (ABAP/OO Fiori BTP) especially within payments treasury and cash management environments.
Key Responsibilities
- Gather and analyze business requirements providing functional and process-oriented consulting
- Advise business stakeholders on SAP functionalities and best practices during operations
- Design and develop IT concepts and solutions based on business needs
- Enhance and develop SAP implementations in Treasury and Payment Transactions
- Develop and maintain custom reports and interfaces in SAP
- Execute testing of developed programs processes and system functionalities
- Collaborate across multiple projects in Digital Finance ERP templates and Corporate Finance product teams
Required Experience
- 3 years of relevant experience in SAP Corporate Finance / Treasury environments
Functional Skills (Must Have)
- Accounting: payment processing (e.g. F110/F111) AR/AP sub-ledgers General Ledger
- Treasury: SAP Treasury & Risk Management (FX hedging financing guarantees interest rates)
- Cash Management & Liquidity Planning (e.g. Nomentia platform knowledge is a plus)
Technical Skills (Must Have)
- SAP Development: ABAP ABAP OO SAP Fiori SAP BTP
- Development of custom reports and interfaces
- Strong expertise in Payment Processing solutions such as:
- SAP Inhouse Cash
- Serrala Finance Suite
- SAP APM / BCM / MBC
- S/4 Inhouse Banking
- Payment Medium Workbench
- Market Data handling (FX/interest/forward rates volatilities) and configuration (e.g. T-Code TBD4)
- SAP Bank Master Data
Methodologies & Tools
- Agile / Waterfall
- JIRA
Soft Skills
- High motivation to work on innovative topics and digital transformation
- Strong analytical mindset and ability to structure complex challenges
- Autonomous and systematic working style
- Team-oriented with strong initiative
- Flexible resilient and proactive
- Strong communication and sense of ownership
Languages
- English: Fluent (Mandatory)
- Portuguese: Native
Nice to Have
- SAP Corporate Finance certifications
Keywords (CV Must Include)
SAP Corporate Finance SAP Treasury & Risk Management SAP Payment Processing ABAP ABAP OO SAP Fiori SAP BTP F110 F111 Accounts Payable Accounts Receivable General Ledger Cash Management Liquidity Planning Inhouse Cash Serrala Finance Suite SAP BCM SAP APM S/4 Inhouse Banking Payment Medium Workbench Market Data FX Hedging Interest Rates Bank Master Data JIRA Agile Waterfall
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