SAP FI Consultant
Masentó SAP are working with a client based in Paris that requires an SAP FI Consultant on an initial 3-month freelance basis.
This will be hybrid working with some on-site required in Paris.
You will be required to support the implementation and configuration of S/4HANA with a focus on Account Receivables, Bank integration, processing of bank statements, Bad debt, Cash collection, payments etc.
Responsibilities:
- Design and document detailed business processes and system requirements.
- Banking Interfaces & Integration:
- Manage and maintain banking interfaces and integrations, ensuring seamless communication between internal systems and external banking platforms.
- Oversee the setup and configuration of electronic banking systems and services.
- Cash Flow Management:
- Monitor and forecast cash flow ensuring sufficient liquidity for operational and strategic needs.
- Develop and implement cash flow reporting and analysis tools providing actionable insights.
- Cash Pooling:
- Design and manage cash pooling arrangements optimizing liquidity across multiple entities and jurisdictions.
- Ensure compliance with regulatory requirements and internal policies related to cash pooling
Essential Skills:
- At least 12-15 years of experience in SAP FI
- Experience with Account Receivables, Bank Integration, Processing of Bank Statements, Bad Debt, Cash Collection, Payments
- Completed 2-3 successful S/4HANA end-to-end implementations
- Be prepared to work hybrid in Paris
- Can start within 2-3 weeks
Please apply with your latest CV for immediate consideration.
Reference: 2929738446
SAP FI Consultant

Posted on Apr 10, 2025 by Masento
Masentó SAP are working with a client based in Paris that requires an SAP FI Consultant on an initial 3-month freelance basis.
This will be hybrid working with some on-site required in Paris.
You will be required to support the implementation and configuration of S/4HANA with a focus on Account Receivables, Bank integration, processing of bank statements, Bad debt, Cash collection, payments etc.
Responsibilities:
- Design and document detailed business processes and system requirements.
- Banking Interfaces & Integration:
- Manage and maintain banking interfaces and integrations, ensuring seamless communication between internal systems and external banking platforms.
- Oversee the setup and configuration of electronic banking systems and services.
- Cash Flow Management:
- Monitor and forecast cash flow ensuring sufficient liquidity for operational and strategic needs.
- Develop and implement cash flow reporting and analysis tools providing actionable insights.
- Cash Pooling:
- Design and manage cash pooling arrangements optimizing liquidity across multiple entities and jurisdictions.
- Ensure compliance with regulatory requirements and internal policies related to cash pooling
Essential Skills:
- At least 12-15 years of experience in SAP FI
- Experience with Account Receivables, Bank Integration, Processing of Bank Statements, Bad Debt, Cash Collection, Payments
- Completed 2-3 successful S/4HANA end-to-end implementations
- Be prepared to work hybrid in Paris
- Can start within 2-3 weeks
Please apply with your latest CV for immediate consideration.
Reference: 2929738446

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