The SAP Cash & Banking SME supports functional configuration and daily delivery of cash management and banking processes within SAP S/4HANA under the guidance of the Lead.
Key Responsibilities
Configure and support:
Cash Management and Liquidity
Electronic Bank Statements (EBS)
Payments and bank formats
Support testing, defect resolution, and hypercare
Assist with bank connectivity and cutover activities
Support treasury users post go-live
Produce functional design and configuration documentation
Required Skills & Expertise
SAP Cash Management
Bank statement processing and reconciliation
Payment run configuration
Basic knowledge of Bank Account Management
Strong analytical and problem-solving skills
Experience Profile
5–8 years SAP FI / Treasury experience
Hands-on S/4HANA exposure preferred
Experience supporting payment and cash operations
Strong functional troubleshooting capability
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