Job Summary
Key Responsibilities
AP FI (Financial Accounting)Configure and support:General Ledger (GL)Accounts Payable (AP)Accounts Receivable (AR)Asset Accounting (AA)Bank AccountingTax ConfigurationSupport month-end and year-end closing activities.Handle financial reporting and statutory compliance requirements.Perform master data management and validation.SAP CO (Controlling)Configure and support:Cost Center Accounting (CCA)Internal OrdersProfit Center Accounting (PCA)Product Costing (PC)Profitability Analysis (COPA)Support budgeting, planning, and cost allocations.Analyze profitability and cost management processes.SAP Treasury:SAP S/4HANA Cash ManagementBank Account Management (BAM)One Exposure FrameworkAdvanced Cash OperationsTreasury Fiori AppsReal-Time Liquidity ManagementCentral Finance IntegrationConfigure and support SAP Treasury processes.Manage cash and liquidity monitoring.Support bank account management and bank relationship management.Implement cash positioning and cash forecasting solutions.Manage short-term and long-term financing activities.SAP FSCM:Configure Credit Management processes.Define credit segments and credit limits.Implement automatic credit checks.Manage customer credit exposure.Configure scoring and risk classes.