We are hiring for Big 4's for Delhi/NCR/Bangalore/Mumbai
Your Role:
Project implementation ensuring the project delivery according to the needs of the customer, and throughout all phases of the project (analysis, blue print, configuration, testing and implementation)
Skill requirements:
- Experience in SAP Treasury & Cash management as part of the SAP and the integration of this module with other SAP components and/or other applications,
- Experience in all phases of at least 2 Treasury & Cash management projects, including analysis, blue print, configuration, testing and go-live or similar exposure through maintenance and support activities
- Extensive experience in transaction management (FX, securities, debt management, money market and derivatives).
- Strong knowledge of new exposure management and hedge management solution of SAP Treasury.
- Experience in Credit Risk Analyzer, Market Risk Analyzer and Portfolio Analyzer would be an additional advantage
- Experience in integration with third party components like market data providers, confirmation matching tools, external pricing engines etc.
- Experience in other FSCM components like In-house Cash, bank communication management, Cash and Liquidity Management, Credit Management will be an additional advantage
- Exposure to multiple SAP system landscape in treasury
- Experience in treasury month-end / year-end processes and sound SAP FI knowledge
- Experience in treasury system migrations and cutover
If anybody is interested plz apply and call 01244843225
Lalita
V-Konnect Associates
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