- Implement, configure, and support SAP FI modules with strong focus on SAP Treasury & Risk Management (TRM).
- Manage end-to-end Treasury processes including cash management, liquidity planning, bank communication, and risk analysis.
- Configure and support General Ledger (GL), Accounts Payable (AP), Accounts Receivable (AR), Asset Accounting, and Bank Accounting.
- Handle integration of SAP FI with other modules such as MM, SD, and CO.
- Work on bank interfaces, electronic bank statements (EBS), payment programs, and cash positioning.
- Support month-end and year-end closing activities.
- Provide functional specifications and coordinate with technical teams for developments.
- Perform testing (Unit/UAT), issue resolution, and production support.
- Ensure compliance with accounting standards and internal controls.
Required Skills:-
- Strong experience in SAP FI with SAP Treasury (TRM).
- Expertise in Cash Management, Bank Communication Management (BCM), In-House Cash, and Liquidity Forecasting.
- Knowledge of financial accounting processes and integration points.
- Experience in SAP configuration and support projects.
- Understanding of S/4HANA Finance (preferred).
- Solid analytical and problem-solving skills.
- Good communication and stakeholder management skills.
Qualifications:-
- Bachelor s degree in Finance, Accounting, IT, or related field.
- 5 8 years of relevant SAP FI/Treasury experience.
- SAP FI or SAP Treasury certification preferred.
Required Skill Profession
Financial Specialists
📌 SAP FI Consultant (SAP Treasury) (Pune)
🏢 Epergne Solutions
📍 Pune
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