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SAP FI Bank Management - TDM

Open 18d posting dated 4 days ago

Summary

Configure and administer SAP S/4HANA Bank Account Management and Bank Communication Management for global clients, including payment orchestration, liquidity forecasting, and automated bank reconciliation.

At Sequoia Connect, we are a Talent-First Technology Ecosystem that redefines how elite professionals interact with the global digital landscape. We move beyond traditional models to act as a catalyst for the top 1% of global talent, connecting human potential with complex industrial execution. By joining our inner circle, you are not simply taking a position; you are aligning with a strategic partner dedicated to updating your "Human OS" and accelerating your growth through world-class, high-impact projects.

We are currently partnering with a global IT powerhouse that represents the connected world through innovative, customer-centric experiences. As a USD 6 billion organization and one of the top 7 IT service providers globally, our client empowers over 1,200 global customers—including several Fortune 500 companies—to "Rise™." With a massive network of 163,000+ professionals across 90 countries, they are at the absolute forefront of digital transformation, leveraging next-generation technologies such as 5G, AI, Blockchain, and Quantum Computing.

This is your chance to thrive in a workplace recognized as one of the most sustainable corporations in the world. You will join an environment that values innovation and societal impact, working on end-to-end digital transformation projects for global leaders. If you are a driven professional looking for global career opportunities and exposure to high-impact projects within an international network of expertise, this is where you belong.

We are currently searching for a SAP FI Bank Management professional:

The Challenge (Responsibilities)

  • Configure and administer the bank account master data within S/4HANA.
  • Design signature structures, opening/closing workflows, and access controls for Bank Account Management (BAM).
  • Implement payment orchestration, release, and monitoring processes using Bank Communication Management (BCM).
  • Configure payment packages, signature levels, and approval rules.
  • Map banking formats including BAI2, MT940, and ISO20022 CAMT.053/052.
  • Define automatic clearing rules, search strings, and posting rules for high-volume automated bank reconciliation.
  • Create liquidity flows and advanced treasury reports.
  • Configure Cash Position, Liquidity Forecast, and the Cash Flow Analyzer.
  • Execute automated payments (F110, F111), collections, and bank accounting.

Your Profile (Requirements)

  • Proven experience in SAP Bank Account Management (BAM) and governance aligned with corporate treasury policies.
  • Expertise in Bank Communication Management (BCM) and integration with SWIFT, host-to-host, and bank connectivity providers.
  • Strong background in Electronic Bank Statements (EBS) and Manual Bank Statements.
  • Demonstrated ability in Cash & Liquidity Management and integration with FI, AP, AR, TRM modules, and external systems.
  • Experience with integral financial processes including FI-MM-SD-TRM integration and intercompany scenarios.
  • Knowledge of functional auditing and SOX controls in financial processes.
  • High-Performance Mindset: Resilience, emotional intelligence, and a focus on agile delivery.
  • Technologist DNA: A deep understanding of the difference between "coding" and "engineering."

Desired

  • Familiarity with cloud-native foundations or AI coding assistants.

Languages

  • Advanced Oral English: For seamless collaboration with global teams.
  • Advanced Spanish.

Work Arrangement

We value flexibility to support your lifestyle. This position is available as:

  • Remote


If you meet these qualifications and are pursuing new challenges, start your application on our website to join an award-winning employer. Explore all our job openings | Sequoia Career’s Page:

Requirements

  • Configuration and administration of bank account master data in S/4HANA.
  • Implementation of Bank Communication Management (BCM) processes including SWIFT and host-to-host integration.
  • Mapping of EBS formats (BAI2, MT940, ISO20022) and automatic clearing rules.
  • Creation of liquidity flows, Cash Position, and Liquidity Forecast configurations.
  • Execution of automatic payments (F110, F111) and FI-MM-SD-TRM integrations.
  • Functional auditing and SOX controls.

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