SAP S/4HANA Treasury and Risk Management Lead

5 Star Recruitment
  • Jersey City, New Jersey
    30+ days ago

    Job Description

    Job Description:

    • 7+ years of experience in SAP S/4HANA Enterprise Management - Finance - Treasury & Risk Management.
    • This candidate will be in a leadership position, driving the business growth and working with cash and liquidity daily.
    • We are seeking an experienced SAP ECC Cash Liquidity Management Consultant to lead the end-to-end implementation of the SAP CLM module, including design, configuration, testing, dashboards, and integration with FI, MM, and RE-FX.
    • Key Responsibilities:
    • Lead end-to-end implementation of SAP Cash and Liquidity Management as per project scope.
    • Conduct business requirement workshops with finance and treasury stakeholders to define the TO-BE processes.
    • Configure and customize SAP CLM, including integration with FI (APARGL), MM, and RE-FX.
    • Assist in Design and implementation of dashboards for Cash Position (real-time balances, house bank analysis, daily deltas).
    • Liquidity Forecast (forecasted inflows/outflows, comparison vs. actuals).
    • Payment Execution Reconciliation (outgoing payments, blocked items aging, reconciliation gap analysis).
    • Support data migration activities including mapping, transformation rules, validation, and reconciliation.
    • Develop WRICEF objects (Workflows, Reports, Interfaces, Conversions, Enhancements, Forms) as needed.
    • Prepare Business Blueprint documentation, configuration documents, and test scripts.
    • Carry out and oversee Unit Testing, Integration Testing, and UAT with business teams.
    • Conduct train-the-trainer sessions for staff.
    • Support cutover activities, Go-Live, and hypercare (post-Go-Live support).
    • Collaborate with onsite and offshore delivery teams under the defined project delivery model.
    • Qualifications:
    • 15 years SAP experience on Cash and Liquidity Management with at least 3 full lifecycle implementations.
    • Strong knowledge of FI (AP, AR, GL) and Treasury processes.
    • Hands-on expertise in Cash Positioning, Liquidity Forecasting, Bank Accounting.
    • Experience in WRICEF development and SAP BWBO dashboards.
    • Excellent communication and stakeholder management skills.

    Numbers & Facts

    LocationJersey City, New Jersey

    Skills

    • Acceptance Testingunmatched
    • Accountingunmatched
    • Accounts Payableunmatched
    • Accounts Receivableunmatched
    • Actualsunmatched
    • Analysis Skillsunmatched
    • Blueprintsunmatched
    • Business Growthunmatched
    • Cash Managementunmatched
    • Communication Skillsunmatched
    • Data Migrationunmatched
    • Documentationunmatched
    • Financeunmatched
    • Financial Risk Managementunmatched
    • Forecastingunmatched
    • Gap Analysisunmatched
    • General Ledger Accountingunmatched
    • Integration Testingunmatched
    • Leadershipunmatched
    • Liquidityunmatched
    • Management Consultingunmatched
    • Offshoringunmatched
    • Reconciliationunmatched
    • Reporting Dashboardsunmatched
    • SAPunmatched
    • SAP Administrationunmatched
    • SAP ECC (fka SAP R/3 and SAP ERP)unmatched
    • Test Scriptsunmatched
    • Testingunmatched
    • Train-the-Trainerunmatched
    • Treasuryunmatched
    • Unit Testunmatched

    Be found by employers

    5,500+ employers search our resume database daily. Add yours to get found by recruiters looking for candidates like you.

    Level up your application

    Professional resume templates

    Browse dozens of recruiter approved resume templates, layouts and formats. Choose your favorite and make it your own in minutes.

    Free resume templates

    Free resume builder

    Improve your existing resume or start from scratch and create a standout, ATS-friendly resume. Add job-specific content, download and apply.

    Free resume builder