SAP TRM Consultant

Overview

Remote
On Site
Full Time
Part Time
Accepts corp to corp applications
Contract - Independent
Contract - W2

Skills

TRM
Scalability
Communication
Writing
Root Cause Analysis
Acceptance Testing
System Testing
Documentation
DevOps
SAP HANA
Management
Account Management
Payment Processing
Risk Management
Commodities
SAP FICO
Affinity Propagation
Augmented Reality
SAP MM
SD
Treasury Management
Cash Flow
Modeling
Bonds
FX
SAP
Customization
Middleware
API
Banking
Interfaces
Swift
SAP ABAP
Finance
Accounting
Information Systems
Treasury
SANS
Agile
Scrum
Collaboration

Job Details

Job Title: SAP TRM Consultant

Interview: Virtual

Job Duration: 12 Months

Job Location: Remote



Job Summary:

We are looking for an experienced SAP S/4HANA Treasury & Risk Management (TRM) Consultant to support enterprise-level initiatives. The ideal candidate will have hands-on expertise across core treasury modules and a strong understanding of finance operations. The role involves delivering functional solutions, resolving issues, and supporting ongoing enhancements in a fast-paced, global business environment.

The consultant will work closely with cross-functional teams to ensure the stability and scalability of SAP Treasury systems while adhering to best practices and performance standards.

Key Responsibilities:

  • Analyze business requirements and design solutions across SAP Treasury modules.
  • Configure and implement cash and liquidity management, in-house cash, bank communication, and risk management functionalities.
  • Collaborate with development teams by writing functional specifications and reviewing deliverables.
  • Troubleshoot issues, resolve production incidents, and perform root cause analysis.
  • Support UAT, system testing, and deployments.
  • Manage documentation for configurations, processes, and enhancements.
  • Engage with global stakeholders to gather requirements and provide system recommendations.
  • Ensure treasury processes are aligned with SAP standards and business needs.
  • Work within Agile or DevOps environments for delivery and coordination.

Required Skills & Expertise:

SAP Functional Expertise:

  • Hands-on experience with SAP S/4HANA Treasury modules, including:
    • Cash & Liquidity Management
    • Bank Account Management & Reconciliation
    • In-House Cash and Payment Processing
    • Risk Management (FX, Interest, Commodity)
  • Integration experience with FICO, including AP/AR and related modules (MM, SD).

Treasury Operations Knowledge:

  • Understanding of cash flow modeling, intercompany clearing, POBO/ROBO structures.
  • Experience with financial instruments like loans, bonds, FX products (spot, forward, NDFs).

Technical Configuration:

  • Proficient in SAP customization, including company code setup, payment formats, and bank hierarchy.
  • Familiarity with middleware/API integration for banking interfaces (SWIFT, 360T, Finastra).
  • ABAP knowledge is a plus (not mandatory).

Preferred Qualifications:

  • Bachelor's degree in Finance, Accounting, Information Systems, or a related field.
  • Experience in multi-country, multi-currency treasury environments.
  • Familiarity with Agile/Scrum methodologies and cross-team collaboration.

Employers have access to artificial intelligence language tools (“AI”) that help generate and enhance job descriptions and AI may have been used to create this description. The position description has been reviewed for accuracy and Dice believes it to correctly reflect the job opportunity.