We are looking for an experienced SAP TRM (Treasury & Risk Management Consultant) to work on a 12 months-extendable contract in Dammam, Saudi Arabia. Urgent request, hence candidates available at short-notice period will be given preference.
Key Responsibilities:
- Lead the implementation and configuration of SAP Treasury and Risk Management (TRM) modules.
- Design and optimize Cash Pooling structures to support efficient liquidity management.
- Develop and manage Payment Factory processes, ensuring seamless integration with banking systems.
- Configure and support Credit Risk Management functionalities within SAP.
- Implement and manage Trade Finance processes including LC issuance, bank guarantees, and related instruments.
- Conduct workshops with business stakeholders to gather requirements and translate them into functional specifications.
- Ensure strong integration with related SAP modules (FI, CO, MM, SD, and BCM).
- Collaborate with internal teams and external partners to deliver end-to-end treasury solutions.
- Perform system testing, user training, documentation, and provide ongoing support.
- Ensure compliance with corporate governance, internal controls, and audit requirements.
Key Requirements:
- Bachelor's degree in Finance, Accounting, IT, or related field.
- Minimum 8+ years of hands-on experience as an SAP Treasury Consultant.
- Strong knowledge of, SAP TRM, Cash Pooling, Payment Factory / Payment Hub, Credit Risk Management, Trade Finance
- Experience with Bank Communication Management (BCM) is an advantage.
- Understanding of treasury processes, financial instruments, liquidity management, and market risk.
- Ability to translate business requirements into functional solutions.
- Excellent analytical, problem-solving, and communication skills.