Booking NL
Treasury specialist (For contingent workers)
Key Job Responsibilities and Duties
Full ownership for the quality of changes, communication, coordination, compliance aspects, customization and go-live hypercare;
Analytical thinking
Providing scalable and innovative solutions;
Ability to take fast decisions in a very dynamic environment, with some level of uncertainty
Contribute to the identification of opportunities (processes, people) to improve project delivery and/or development methodologies.
Training of key users and key user support.Analyzing issues and changes;
Day to day support and incident resolution
Qualifications & Skills
8+ years SAP Treasury hands-on experience with excellent experience in handling SAP Treasury configuration and business process mapping in both ECC and S4 HANA environments
Strong knowledge and experience in the Hedging process and Raw exposure creation.
Strong knowledge in Treasury processes like Cash Management, Cash flow Forecasting, Bank Account management, Intercompany Loans, FX Trades.
Knowledge of In House Cash, Bank Statement is must and Bank Communication Management is good to have.
Experience on integration of digital platforms/legacy applications with SAP
Ability to have good grasp of the detail and manage multiple priorities in a quick turnaround environment;
Deep knowledge in translating the business requirement into technical design and solutions, hands-on experience in preparing functional specification, technical specification and conducting testing including UAT.
Strong analytical, organizational ,problem solving skills; you are flexible, proactive and result-oriented
Strong communication skills in English, both verbal and written;
ABAP code debugging capability is nice to have (read, interpret, design program logic)