What are the responsibilities and job description for the SAP TRM Consultant position at Stellar IT Solutions?
Job Details
Job Title: SAP TRM Consultant
Interview: Virtual
Job Duration: 12 Months
Job Location: Remote
Job Summary:
We are looking for an experienced SAP S/4HANA Treasury & Risk Management (TRM) Consultant to support enterprise-level initiatives. The ideal candidate will have hands-on expertise across core treasury modules and a strong understanding of finance operations. The role involves delivering functional solutions, resolving issues, and supporting ongoing enhancements in a fast-paced, global business environment.
The consultant will work closely with cross-functional teams to ensure the stability and scalability of SAP Treasury systems while adhering to best practices and performance standards.
Key Responsibilities:
- Analyze business requirements and design solutions across SAP Treasury modules.
- Configure and implement cash and liquidity management, in-house cash, bank communication, and risk management functionalities.
- Collaborate with development teams by writing functional specifications and reviewing deliverables.
- Troubleshoot issues, resolve production incidents, and perform root cause analysis.
- Support UAT, system testing, and deployments.
- Manage documentation for configurations, processes, and enhancements.
- Engage with global stakeholders to gather requirements and provide system recommendations.
- Ensure treasury processes are aligned with SAP standards and business needs.
- Work within Agile or DevOps environments for delivery and coordination.
Required Skills & Expertise:
SAP Functional Expertise:
- Hands-on experience with SAP S/4HANA Treasury modules, including:
- Cash & Liquidity Management
- Bank Account Management & Reconciliation
- In-House Cash and Payment Processing
- Risk Management (FX, Interest, Commodity)
- Integration experience with FICO, including AP/AR and related modules (MM, SD).
Treasury Operations Knowledge:
- Understanding of cash flow modeling, intercompany clearing, POBO/ROBO structures.
- Experience with financial instruments like loans, bonds, FX products (spot, forward, NDFs).
Technical Configuration:
- Proficient in SAP customization, including company code setup, payment formats, and bank hierarchy.
- Familiarity with middleware/API integration for banking interfaces (SWIFT, 360T, Finastra).
- ABAP knowledge is a plus (not mandatory).
Preferred Qualifications:
- Bachelor's degree in Finance, Accounting, Information Systems, or a related field.
- Experience in multi-country, multi-currency treasury environments.
- Familiarity with Agile/Scrum methodologies and cross-team collaboration.