Description

SAP Treasury Consultant - Poland Location: Poland - 100% Remote Start: ASAP Duration: 6-12 months + strong extension potential Language: English Interview Process: Rapid process - 1-stage interview this week Job Description We are looking for an experienced SAP Treasury Consultant to support a long-term transformation/project environment. The ideal consultant will have strong hands-on experience across Cash & Liquidity Management and Payment Factory, with broader SAP Treasury & Risk Management experience being highly desirable. Key Responsibilities Support and deliver SAP Treasury solutions with a strong focus on Cash & Liquidity Management, particularly Cash Flow Analyzer. Work across Payment Factory processes, including MBC, IHB, IHC, APM, FI-AP and FI-BL. Analyse business requirements, provide solution recommendations and support configuration/integration activities. Collaborate with business and technical stakeholders throughout the project lifecycle. Requirements Strong SAP Treasury experience. Hands-on experience with Cash & Liquidity Management / Cash Flow Analyzer. Strong experience with SAP Payment Factory processes. Knowledge of MBC, IHB, IHC, APM, FI-AP and FI-BL. Experience with Treasury & Risk Management is desirable. Strong communication skills and ability to work independently in a remote environment. Fluent English. Why Join the Project? 100% remote opportunity. 6-12 month initial contract with strong potential for extension. Opportunity to work on a specialist SAP Treasury project with a strong focus on Cash Management and Payment Factory. Fast interview process - just one stage planned this week. Apply Now If you are an SAP Treasury Consultant with strong Cash & Liquidity Management and Payment Factory experience and are available ASAP, please get in touch.