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Senior Manager, Investment Accounting & Liquidity Solutions
Salary undisclosed
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Responsibilities You need to act as the principal architect for the SAP Treasury and Cash Management solution, ensuring optimal design and implementation. You are responsible to establish the strategic roadmap for the Treasury and Cash Management solution, aligning with business objectives. You are must to Facilitate knowledge sharing with the support team to ensure a seamless transition to Business as Usual (BAU). You need to support the Request for Proposal (RFP) process and assist in evaluating vendors or products. You need to oversee the team’s delivery, ensuring high-quality outputs and timely delivery. Job Requirements 8 years of relevant experience in SAP Treasury and Risk Management (TRM) or Finance Asset Management (FAM) Experience in SAP Cash Management and Bank Communication Management is a plus Experience of 5 end-to-end system implementation/ rollout project Current knowledge of SAP systems, deployment, and integration ABAP (debugging) skills Knowledge of IFRS9 and IFRS17 is highly preferred.