Specialist SAP Treasury Role
Join a long-term transformation environment to support and deliver specialized SAP Treasury solutions. This role offers a 100% remote opportunity with an initial contract duration of 6-12 months and strong potential for extension. The position requires immediate availability and focuses on Cash & Liquidity Management and Payment Factory processes.
Key Responsibilities
- Support and deliver SAP Treasury solutions with a strong focus on Cash & Liquidity Management, particularly Cash Flow Analyzer.
- Work across Payment Factory processes, including MBC, IHB, IHC, APM, FI-AP and FI-BL.
- Analyse business requirements, provide solution recommendations and support configuration/integration activities.
- Collaborate with business and technical stakeholders throughout the project lifecycle.
Requirements
- Strong SAP Treasury experience.
- Hands-on experience with Cash & Liquidity Management / Cash Flow Analyzer.
- Strong experience with SAP Payment Factory processes.
- Knowledge of MBC, IHB, IHC, APM, FI-AP and FI-BL.
- Experience with Treasury & Risk Management is desirable.
- Strong communication skills and ability to work independently in a remote environment.
- Fluent English.
Why Join the Project?
- 100% remote opportunity.
- 6-12 month initial contract with strong potential for extension.
- Opportunity to work on a specialist SAP Treasury project with a strong focus on Cash Management and Payment Factory.
- Fast interview process - just one stage planned this week.