SAP FI Treasury Risk Cash Liquidity Mgmt

0 - 4 years

0 Lacs

Posted:2 weeks ago| Platform: Shine logo

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Work Mode

On-site

Job Type

Full Time

Job Description

You will be responsible for SAP FI Treasury Risk Cash Liquidity Management in this role. Your primary duties will include managing treasury functions, mitigating financial risks, and optimizing cash and liquidity management processes using SAP FI. The ideal candidate should have a strong understanding and hands-on experience in SAP FI Treasury Risk Cash Liquidity Management. You should be able to effectively analyze financial data, identify potential risks, and implement strategies to maintain liquidity. This position requires a notice period of 0-60 days. A full-time graduate education is preferred for this role. The job location will be in Bangalore, Kolkata, Pune, Hyderabad, Chennai, or Bhubaneswar. If you meet the desired profile and possess the necessary skills in SAP FI Treasury Risk Cash Liquidity Management, we encourage you to apply by sending your resume to career@krazymantra.com.,

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