Job offer - 3115 SAP Treasury and Cash Management (TCM) Expert Consultant
SAP Treasury and Cash Management (TCM) Expert Consultant
Global Enterprise Partners
Information
- 100% remote project
- Posted On: 5/20/2025
- Hungary
- Time of Hungary
- Availability to travel is required
- Years of experience required: 5
Languages
Required:SAP knowledge areas
Required:Contract type & wage
- Freelance - to negotiate
Position description
SAP Treasury Expert- Contractor/Freelance - English proficiency in speaking and writing required!
Global Enterprise Partners is currently looking for a full-time highly skilled SAP Treasury and Cash Management (TCM) Expert Consultant. This role is pivotal for one of our key healthcare clients based in Hungary, where you will manage the interface between business users and technical teams, plan, and execute the carve-out project to ensure seamless financial systems separation. If you are a proactive and autonomous professional with a strong technical background in SAP TCM and SAP FI, focusing on optimising treasury operations, improving financial risk management, and ensuring efficient cash management, we want to hear from you!
Required Experience:
- Bachelor's degree in Finance, Accounting, or related field.
- Extensive experience with SAP TRM and FI modules.
- Proven track record in managing carve-out projects.
- Strong analytical and problem-solving skills.
- Excellent communication and teamwork abilities.
- SAP certification is a plus.
Key Responsibilities:
- Lead and manage the SAP TCM components of the carve-out project.
- Ensure smooth separation of financial systems and processes.
- Monitor and forecast cash positions.
- Manage bank accounts and reconcile statements.
- Plan and analyse liquidity needs.
- Identify potential liquidity issues.
- Manage financial instruments like loans, bonds, and derivatives.
- Oversee deal management from trading to settlement.
- Assess market risks (interest rate, currency, commodity).
- Evaluate counter party creditworthiness and set credit limits.
- Manage intercompany payments and internal cash flows.
- Oversee internal bank accounts and liquidity management.
- Automate bank statement reconciliation.
- Manage outbound payments and bank communications.
- Integrate SAP FI with TCM processes for accurate financial reporting.
- Oversee general ledger entries and financial statements.
Preferred Skills:
- Strong analytical and problem-solving skills.
- Excellent communication and teamwork abilities.
- Proven track record in managing carve-out projects.
- SAP certification is a plus.
Location: 🌍 remote with incidental on-site needs in Hungary
Start Date: 📅 ASAP
Contract Duration: 📄 Initial contract period till the end of the year with an option to extend based on project requirements
Rate: 💰 TBD