We are hiring an experienced SAP S / 4HANA Treasury & Risk Management (TRM) to support and enhance treasury and risk management processes within a dynamic financial environment.
Location : Lisbon, Portugal (Hybrid – 2 days on-site per week)
Start Date : April 2024
Contract Duration : 12 months
Key Responsibilities
- Configure and maintain SAP TRM to support treasury operations, including cash and liquidity management.
- Implement solutions for managing market risks, credit risks, and operational risks.
- Oversee investment portfolios, debt instruments, and financial transactions within SAP TRM.
- Ensure compliance with financial regulations and optimize hedge accounting processes.
- Ensure seamless integration between SAP TRM and FI, CO, and external banking systems .
- Enhance cash position visibility and implement forecasting strategies.
- Provide training and guidance to treasury and finance teams, ensuring effective system usage.
- Identify and resolve issues while recommending system enhancements for improved efficiency.
Technical Requirements
5 years of experience as an SAP TRM Consultant.Expertise in SAP S / 4HANA Treasury & Risk Management (TRM) with a strong focus on cash management, liquidity planning, and risk mitigation .Experience in hedge management, investment management, and financial instruments processing .Knowledge of integration with SAP FI, CO, and external financial institutions .Understanding of regulatory requirements and compliance standards in treasury operations .How to Apply
Send your CV in English plus your daily rate to or apply directly.
Seniority level
Mid-Senior level
Employment type
Full-time
Job function
Information Technology, Consulting, and Manufacturing
Industries
IT Services and IT Consulting
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