SAP FI Treasury Risk Cash Liquidity Management

0 - 4 years

0 Lacs

Posted:1 month ago| Platform: Shine logo

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On-site

Job Type

Full Time

Job Description

Job Description: You will be responsible for SAP FI Treasury Risk Cash Liquidity Management. Your key responsibilities will include: - Managing treasury operations related to risk management - Handling cash flow forecasting and liquidity management - Implementing and maintaining SAP FI Treasury modules To excel in this role, you should possess the following skills: - Proficiency in SAP FI Treasury Risk Cash Liquidity Management - Strong understanding of treasury operations - Ability to perform cash flow forecasting effectively Please note that this position requires a full-time graduate education. The location of the job can be in Bangalore, Kolkata, Pune, Hyderabad, Chennai, or Bhuvaneswar. If you meet the desired profile and have a notice period of 0-60 days, please reach out to career@krazymantra.com for further details.,

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