Role : Senior Treasury Consultant w/Quantum Work site: Roswell, GA (Remote)
Contract
" Experience in Treasury module, in Cash management, Integration with Banks for funds transfer, Bank Account Mgt (BAM), Bank Communication Mgt (BCM), Liquidity, Planning/Forecasting/Reporting, Debt & investment Mgt, Foreign Exchange, Derivatives and Hedge Accounting Must have basline general knowledge of FI or CO and sub-modules (configuration, integration, testing experience)
Key Responsibilities Treasury & Risk Management Lead implementation and support of SAP Treasury. Cash & Liquidity Management Treasury Operations Debt & Investment Management Financial Risk Management (FX, Interest Rate, Commodity) Configure and manage: Treasury Position Cash Flow Analyzer Market Data Deal Capture and Valuation Implement hedge management, hedge accounting, and effectiveness testing. Quantum / Advanced Treasury Capabilities Design and integrate Quantum enabled treasury solutions such as: Advanced optimization scenarios for liquidity and risk High performance treasury simulations Future ready treasury analytics and forecasting models Support integration of SAP Treasury with advanced analytics, AI/ML, or quantum inspired optimization frameworks (where applicable). Collaborate with architecture teams on emerging treasury technologies. SAP S/4HANA Treasury Transformation Lead ECC to S/4HANA Treasury migrations, including: New Cash Management Bank Account Management (BAM) In House Cash Financial Instruments Enhancements Redesign treasury processes to align with S/4HANA best practices. Support Central Finance and global treasury rollouts. Integration & Financial Processes
Integrate SAP Treasury with: FI (GL, AP, AR) CO / CO PA Bank Communication Management (BCM) SWIFT / Host to Host Bank Interfaces Support IFRS / GAAP compliance for treasury accounting and reporting. Ensure accurate posting, valuation, accruals, and period end close. Governance, Controls & Compliance
Ensure compliance with: SOX and internal treasury controls Audit requirements Regulatory reporting Implement authorization concepts and process controls for treasury activities. Leadership & Stakeholder Management Conduct requirement workshops with Corporate Treasury, Finance, Risk, and IT teams. Act as a trusted advisor to treasury leadership. Lead treasury workstreams and mentor junior consultants. Provide L2/L3 production support and issue resolution.
Required Skills & Expertise Functional Expertise Strong expertise in SAP Treasury & Risk Management (TRM) Hands on experience with: Cash Management & Liquidity Forecasting Financial Instruments FX & Interest Rate Risk Hedge Accounting Solid understanding of banking products, treasury operations, and market instruments.
Technical & Integration Skills SAP ECC and SAP S/4HANA Finance
Experience with: Bank interfaces (SWIFT, ISO20022) Bank Account Management Treasury Analytics and Reporting Exposure to quantum inspired optimization, advanced analytics, or financial simulation models is a strong advantage. Business & Analytical Skills Strong grasp of corporate treasury strategy and financial risk management. Ability to translate complex treasury requirements into SAP solutions. Excellent problem solving and analytical skills.
Qualifications Bachelor s degree in Finance, Accounting, Economics, Engineering, or IT MBA, CFA, FRM, CA preferred. SAP Treasury / S/4HANA Finance certification is a strong plus.
Experience Requirements 8 15+ years overall SAP experience. 8+ years in SAP Treasury & Risk Management. Experience in at least one full lifecycle SAP Treasury implementation. Exposure to global/multi currency treasury environments."