RA

Staff - Master Data Management

RARR Technologies
Noida4-12 LPA Posted 30 Oct 2025
FULL TIME
Idoc
BCM
Cash Management
SAP Treasury

Job Description

Key Responsibilities:

  • Maintain and create Bank Master Data, including House Bank setup and bank account maintenance.
  • Configure Electronic Bank Statement (EBS) for automated bank statement processing and reconciliation.
  • Implement EDI, IDOC, and Lockbox configurations for seamless data exchange across systems.
  • Manage Bank Communication Management (BCM), including payment run setup and approval process configuration.
  • Configure and execute Automatic Payment Program and Payment Medium Workbench independently.
  • Handle In-House Cash operations such as payment-on-behalf processes, intercompany netting, and cash pooling.
  • Work on SAP Treasury and Risk Management modules including transaction management, hedge management, and risk analysis (market and credit).
  • Support cash flow forecasting, cash positioning, and management of financial instruments.
  • Collaborate with stakeholders to understand business needs and translate them into SAP system solutions.

Qualifications:

  • Strong experience in SAP Treasury and Cash Management (TRM/FSCM) modules.
  • Solid understanding of treasury operations, cash management, and risk control.
  • SAP certification in Treasury and Cash Management and/or FSCM preferred.
  • Excellent analytical, problem-solving, and communication skills.
  • Ability to work independently and manage stakeholder expectations effectively.
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