About Us
HMH is a leading provider of drilling solutions, offering a wide range of products and services that are designed to be the safest and most efficient in the industry. Apart from our expertise in land and offshore operations, we are continuously expanding our knowledge within subsea mining, geothermal, onshore and offshore construction, as well as offshore wind industries. With offices in 16 countries across five continents, HMH maintains a strong global presence.HMH is a frontrunner in developing and providing automation and digital solutions for our drilling customers to support their endeavor to improve efficiency and environmental footprint. Equipped with its brilliant team of engineers, HMH is committed to actively exploring opportunities in other industries. For us, this means new opportunities and challenges that we need creativity and great minds to solve in our efforts to innovate our future.
Do you want to join our team?
At HMH we value our employees. We offer exciting job opportunities that will give you the opportunity to grow in your role and give you the professional development you deserve. In addition to competitive pay and benefits, you will join a casual and inclusive work environment. Our environment is based on respect and having a good day at work, so you can expect to join a knowledgeable, global team who help each other to succeed.
Key Responsibilities:
- Participate & Lead in the design, configuration, and implementation of SAP S/4HANA Treasury modules including: - Cash Management - In-House Cash - Bank Account Management (BAM) - Debt & Investment Management - Risk Management (Hedge Accounting, FX exposure management) - Bank Communication via SAP MultiBank Connectivity (MBC) or BCM
- Collaborate with global treasury, accounting, and IT stakeholders to define system requirements and translate business needs into SAP solutions.
- Drive treasury-related process automation, optimization, and compliance initiatives in SAP S/4HANA.
- Serve as subject matter expert (SME) and hands-on configurator for treasury topics in global S/4HANA rollout and post-go-live support.
- Integrate SAP Treasury with external financial institutions, SWIFT network, and 3rd-party platforms (e.g., Bloomberg).
- Conduct testing, training, and documentation for SAP treasury functionalities.
- Monitor cash positioning, liquidity forecasts, and bank statements within SAP.
- Support regulatory and audit compliance efforts related to Treasury business processes.
- Participate in testing cycles (UAT, regression, etc.) for system upgrades and new features.
Required Qualifications:
- 10+ years of SAP experience with minimum 5 years focused on SAP Treasury modules in ECC or S/4HANA.
- Hands-on experience with at least one end-to-end SAP S/4HANA Treasury implementation.
- Strong understanding of financial instruments, cash management, payment processing, liquidity planning, and hedge accounting.
- Excellent problem-solving skills and ability to translate functional requirements into technical solutions.
- SAP S/4HANA certification in Treasury or Finance.
Education:
- Bachelor’s or Masters degree in Finance, Accounting, Information Systems, or related field.
Skills & Abilities:
- Strong communication and interpersonal skills to effectively collaborate with cross-functional teams and stakeholders.
- Proactive, analytical mindset with strong documentation and project leadership skills.