Senior SAP Treasury Consultant – TRM
Posted 2hrs ago
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Job Description
Senior SAP Treasury Consultant implementing SAP Treasury and Risk Management for Zanders, a global Treasury, Risk and Technology consultancy. Advising multinational clients from scoping through go-live.
Responsibilities:
- Deliver end-to-end SAP Treasury implementations — scoping, planning, design, configuration, testing and go-live
- Configure SAP Treasury and Risk Management across Transaction Manager, including money market, loans, foreign exchange, hedge management, securities and derivatives, and cash and liquidity management
- Configure hedge management and hedge accounting, including designation, effectiveness testing and related accounting treatment
- Set up in-house cash, payment factory structures and bank connectivity, including correspondence and market data integration
- Translate client treasury requirements into SAP solutions and advise on best practices and appropriate use of standard functionality
- Own workstreams, keeping scope, quality and timelines on track and raising risks early
- Work within cross-functional teams spanning technical, functional and client resources
- Keep client stakeholders updated on progress, timelines, risks and deliverables, and surface issues early
- Advise clients on their treasury technology landscape, current practices, roadmap direction and vendor selection
- Identify new business and project opportunities in India and internationally
- Contribute to proposals, RFPs, client presentations and networking
- Stay current with SAP Treasury releases and functionality and share knowledge with the wider team
- Contribute to building the India practice through internal initiatives, knowledge sessions and team-culture development
Requirements:
- Three to five years implementing and configuring SAP Treasury and Risk Management (TRM) specifically — not general SAP Finance experience
- Hands-on configuration across Transaction Manager — money market, loans, foreign exchange including hedge management, securities and derivatives (IRS, swaps, options, futures) — and cash and liquidity management
- Working knowledge of corporate treasury processes: treasury and risk management, cash management, in-house banking, payment factories and bank connectivity
- Experience with related tools such as SWIFT, trading portals and market data providers
- Experience owning your own workstream on implementation projects
- Comfort working directly with clients to resolve difficult problems
- Business-fluent English
- Willingness to travel within Asia and to Europe as projects require
- SAP certification in Treasury and Risk Management or a related module (valuable)
- Experience with SAP In-House Cash, Advanced Payment Management, Bank Communication Management or Multi-Bank Connectivity (valuable)
- Exposure to Market Risk Analyzer or Credit Risk Analyzer (valuable)
- Experience configuring correspondence, confirmations and market data feeds (valuable)
- Experience in a consulting environment (valuable)
- A Bachelor's or Master's degree in finance, accounting, engineering or a related field (valuable)
Benefits:
- A hybrid work environment, that promotes a healthy work-life balance
- Participation in the Zanders bonus scheme
- 28 paid holiday days
- A laptop and an iPhone
- An entrepreneurial culture that values personal development, with ample room for initiatives
- Expertise in your chosen field, building skills rapidly alongside diverse clients and consultants
- A truly collegiate environment with enthusiastic and helpful colleagues, fostering career excellence in Treasury, Risk or Technology
- An annual Zanders's trip to a (surprise) location in Europe
- Visas arranged and supported for international project work













