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SAP FICO (Treasury and Cash Management)

12 - 14 years

5 - 10 Lacs

Posted:14 hours ago| Platform: Foundit logo

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Work Mode

On-site

Job Type

Full Time

Job Description

  • Gather and analyze business requirements in Finance and Accounting processes.
  • Configure and support SAP FI modules: GL, AP, AR, AA, and Bank Accounting.
  • Set up company codes, chart of accounts, posting periods, and fiscal year variants.
  • Perform FI-MM and FI-SD integration for seamless P2P and O2C cycles.
  • Resolve user issues related to invoice processing, payment runs (F110), dunning (F150), and reconciliations.
  • Support asset capitalization, depreciation (AFAB), transfers, and retirements.
  • Perform foreign currency valuation (F.05), recurring entries, and other month-end activities.
  • Design and execute test scenarios (unit testing, integration testing, UAT).
  • Create functional specifications for RICEFW objects (Reports, Interfaces, Conversions, Enhancements, Forms, Workflows).
  • Work with ABAP developers for custom enhancements and debugging.
  • Coordinate with SD, MM, CO, and Treasury teams for cross-functional issues.
  • Conduct training sessions and prepare end-user documentation and SOPs.
  • Monitor IDOCs, background jobs, and interfaces relevant to FI processes.
  • Support tax configuration (GST, TDS, VAT) and statutory compliance requirements.

Accounting & Finance (SAP FI):

  • Provide support for General Ledger (GL), Accounts Payable (AP), and Accounts Receivable (AR).
  • Assist with month-end and year-end closings, balance sheet validations, and financial reporting.
  • Resolve issues related to payment runs (F110), dunning (F150), and incoming/outgoing payments.
  • Maintain master data for vendors, customers, and GL accounts.

Treasury Management (TRM)

  • Support cash flow forecasting, liquidity management, and treasury deal processing.
  • Maintain treasury instruments like loans, deposits, and foreign exchange contracts.
  • Assist with integration of TRM with Cash Management and Accounting.
  • Monitor treasury reports and resolve issues related to financial instruments and market data.
  • Strong hands-on experience in SAP FI, especially in Cash Management, AP/AR, and Bank Accounting.
  • Working knowledge of Tax configuration (GST, TDS, VAT) and its impact on accounting.
  • Understanding of SAP Treasury & Risk Management (TRM) module is an added advantage.
  • Experience in bank interfaces, EBS automation, and payment mediums.
  • Ability to analyses and resolve integration issues with SD, MM, CO, and external banking systems.
  • Familiarity with month-end closing activities, foreign currency valuation, and reconciliations.
  • Proficiency in using ticketing tools.
  • Good communication and stakeholder coordination skills.
  • Documentation skills: ability to create SOPs, user guides, and issue logs.

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