





Tier-1 brand and metro presence, but niche SAP TRM skills limit candidate pool.
High—skills tied to treasury domain and SAP TRM configurations are industry-specific.
Niche SAP TRM and treasury expertise are mandatory, raising filter strictness.
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Implement and support SAP Treasury and Risk Management (TRM) processes including money market, FX, derivatives, securities, cash, liquidity forecasting, bank account, and payment management.
Configure and integrate SAP Treasury with FI/CO, Accounts Payable/Receivable, banking systems, and manage functional testing, data migration, go-live and post-go-live support.
Provide issue resolution, compliance adherence, documentation, training, and collaborate with technical teams (ABAP, BASIS, CPI, Security, Fiori) for technical developments and problem-solving.
Experience implementing and supporting SAP Treasury and Risk Management (TRM) solutions covering cash management, liquidity, FX, derivatives, and treasury operations.
Education: BTech, MBA, or any other qualification.
Work Experience Required: Not explicitly mentioned in the JD.
Location: Must be based in or willing to work in Mumbai.
Strong technical and functional expertise in SAP TRM module with hands-on experience in configuring treasury processes and integrations with SAP FI/CO and related modules.
Operationally focused on end-to-end SAP TRM lifecycle including requirement gathering, fit-gap analysis, configuration, testing, deployment, and support.
Experienced in collaborating cross-functionally with technical and business teams, managing compliance and documentation, and supporting client interactions in a structured project environment.