Job Description: Minimum of 3 years of SAP APO experience Functional and technical proficiency in SAP applications-related work including Master Data related to APO. Must be doing production support work Should have hands-on experience in and knowledge of core SAP Planning and APO functional areas. Should have knowledge of key integration points between SAP Modules Good Knowledge in APO Demand Planning. Should Have exposure to PPDS and Core interface functionalities Should have knowledge in Pro.
Collaborate with cross-functional teams to design and implement SAP TRM solutions. Analyze requirements, provide support, conduct training, troubleshoot issues and maintain documentation while ensuring compliance and best practices.
Implement SAP Treasury and Risk Management solutions focused on PF Trust and investment management. Configure transaction manager, credit risk analyzer, market risk analyzer and support treasury business processes and reporting.
Provide Level 2 and Level 3 support for SAP TRM and In-House Cash. Resolve issues, implement enhancements, support banking interfaces, electronic bank statements, payment processing and treasury operations. Work in Agile Scrum environment.
Gather requirements, configure SAP Treasury and Risk Management solutions, conduct testing, data migration and user acceptance activities. Support transaction manager, credit risk analyzer, market risk analyzer and hedge accounting functions.
Lead SAP Treasury projects, design treasury solutions, manage functional teams and oversee integration with FI/CO, banking and market data providers. Ensure successful testing, deployment and compliance with treasury regulations.
Provide implementation and operational support for Treasury Management Systems. Lead SAP TRM implementations, manage payment workflows, bank connectivity, liquidity reporting, system integrations and treasury operations. Coordinate stakeholders and drive enterprise treasury transformation.
Lead end-to-end SAP S/4HANA Treasury implementations. Configure Advanced Payment Management, In-House Banking, payment routing, liquidity management, hedge accounting and treasury workflows. Integrate SAP systems with banking networks and external platforms.
Implement and configure SAP TRM modules, collaborate with stakeholders, develop solutions, conduct training and resolve technical issues. Maintain documentation and ensure adherence to industry standards and best practices.
Manage and implement SAP TRM projects, provide expertise in cash liquidity management, collaborate with business teams and support end users. Ensure project delivery, compliance and best practices across treasury functions.