SAP Treasury – TRM / Cash Management Consultant
Program: Global SAP S/4HANA Implementation
Location: Remote (preference for Europe-based candidates)
Start Date: ASAP
Duration: 12 months
Language: English
Work Environment: Full Remote
Job Description
We are looking for a skilled SAP Treasury Consultant with a focus on TRM and Cash Management to join our S/4HANA global transformation program. The consultant will support the Treasury workstream, with a particular emphasis on distributed cash management processes and liquidity visibility in a multinational environment.
Responsibilities
- Contribute to all project phases: requirement gathering, solution design, configuration, testing, training, and deployment.
- Implement and configure SAP Cash Management and Treasury Risk Management modules in S/4HANA.
- Support the design and implementation of Distributed Cash Management solutions.
- Work with stakeholders to ensure optimized cash positioning, cash flow forecasts, and bank account management.
- Collaborate with cross-functional teams and business SMEs to translate requirements into system solutions.
- Provide expertise in Liquidity Item Derivation – preferred.
- Ensure seamless integration with other finance and treasury processes within the S/4HANA landscape.
- Work effectively in a remote delivery setup across global teams.
Required Experience
- 8+ years of functional experience in SAP Treasury and/or Cash Management.
- Participation in at least 2 full lifecycle implementations focused on TRM / Cash Management.
- Experience working on large-scale global SAP projects.
- Proficiency in S/4HANA Treasury modules, including:
- TRM (Treasury Risk Management)
- Cash Management (including Distributed Cash Management)
- Strong understanding of bank integration and liquidity reporting.
- Familiarity with Liquidity Item Derivation in S/4HANA – preferred.
- Proven ability to collaborate with business users, functional consultants, and technical teams.
- Comfortable working in a remote, distributed team environment.