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SAP FI Treasury & Risk consultant/architect (SAP TRM/SAP Finance/S4 HANA/SAP FSCM) - senior expert

Posted on Nov 14, 2021 by TALENT - IT

Brussel, Belgium
IT
Immediate Start
Annual Salary
Contract/Project

Service description:
SAP FI Treasury & Risk consultant/architect (SAP TRM/SAP Finance/S4 HANA/SAP FSCM) - senior expert

RFP Functional SAP FI Treasury & Risk consultant/architect (SAP TRM/SAP Finance/S4 HANA/SAP FSCM) - senior expert level

Tasks and responsibilities:

- You will participate in the One SAP project within the Treasury workstream in the Group SAP Finance competence center within IT.

- The One SAP project is a key project for the Group to onboard the 50Hz entities on the existing S/4 HANA system while searching maximum harmonization between the processes of both companies as a display of the Group vision and mission.

- You will be part of a larger project team to implement a new SAP S/4 HANA Cash management and TRM implementation for the Treasury team as well as perform a migration of the existing SAP S/4 HANA Cash management and TRM scope of the 50Hz Treasury team.

- You need to be able to understand business/functional needs as validated in the Blueprint documents and translate them in functional/technical SAP specifications.

- Your role in the project will be an SAP Treasury and Risk Management expert at Architect & Consultant level, with direct experience of S4 HANA and SAP Treasury and Risk Management.

You will enter the project at the end of the blueprint phase and start of the implementation phase.

- In this capacity, you will report to the IT application manager for SAP Finance for the solution management and have the SAP Group Manager as your team leader.

- You should be able to consult in decision making processes.

- You have to be able to give workshops to Treasury business.

- We expect high-end and hands-on experience in SAP Cash & Liquidity Management + TRM design, development, integration and testing.

Profile:

- Master or Bachelor degree

- At least 15+ years of working experience with SAP: expert level

--- established expertise in S/4 HANA Finance: Cash Management & Liquidity Planning and TRM.

- Implementation experience is absolutely required

- Have excellent communication and alignment skills across the different work streams.

- You need to have a positive attitude towards integration possibilities within SAP.

- Be fluent in English is a must.

- Team player with an analytical mind and good communication and thorough documentation

skills

Technical skills:

- Must have in-depth - expert level - experience and knowledge of the following SAP modules:

Treasury and Risk Management (Money Markets, Forex, Derivatives, Risk Analyzers)

In House Cash, Bank Communication Management, Multi bank Connectivity, Bank account Management, Cash Management, Liquidity Management. Hands on experience with set up of the Cash Flow Analyzer.

Banking (Vendor Payments, Customer Payments, Bank Reconciliation)

- You should have good understanding of functional/technical flows between SAP Financials and SAP SD, MM and PS.

- SAP S/4 HANA Finance hands on expertise is an absolute must have. As well as a good understanding of the content of S/4 HANA versions towards the Cash and TRM domain.

- Good functional understanding of financial reporting (operational - management reporting to executive reporting)

- Hands on experience in SAP migration projects is highly requested

- Relevant experience in SAP BI + Fiori tools

Assignment:

Start 01/12/2021 tem 31/05/2021 = 3d/week

Start 01/06/2022 tem 31/01/2023 = 1d/week

Total: 100 Man days

Time and material agreement.

1d per week on site (Tuesday).

Reference: 1398515944

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