Start Date
Immediate
Expiry Date
08 Sep, 25
Salary
79100.0
Posted On
08 Jun, 25
Experience
3 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Microsoft Excel, Communication Skills, Financial Markets, Cash Management, Financial Modeling, Finance
Industry
Financial Services
WE HELP THE WORLD RUN BETTER
At SAP, we enable you to bring out your best. Our company culture is focused on collaboration and a shared passion to help the world run better. How? We focus every day on building the foundation for tomorrow and creating a workplace that embraces differences, values flexibility, and is aligned to our purpose-driven and future-focused work. We offer a highly collaborative, caring team environment with a strong focus on learning and development, recognition for your individual contributions, and a variety of benefit options for you to choose from.
QUALIFICATIONS & SKILLS
PURPOSE & OBJECTIVE
SAP’s Global Treasury department is primarily responsible for global cash management, cash flow planning, asset management, internal and external financing, stakeholder management (banks, debt investor, rating agencies), and all areas of financial risk management, e.g., foreign currency, interest rate, and counterparty risk. Furthermore, Global Treasury supports SAP’s overall value chain by engaging in co-innovation projects as well as pre-sales and sales support (“SAP runs SAP”) regarding our Treasury and Cash Management solutions. In addition, Global Treasury acts as a strategic advisor to the Executive Board and closely supports the SAP growth strategy via its expertise in M&A Finance, capital structure and capital allocation policy.
In order to fulfill these tasks, Global Treasury is in close contact with several internal partners, e.g., Global Controlling, Global Tax, Global Legal, Corporate Financial Reporting, and Investor Relations.
The North America Treasury Operations and Processes Team is part of Global Treasury. It is responsible for managing North America Business, managing SAP’s Cash Hub and overseeing operational activities around Cash Management, Financial Risk Management, Bank Account Management and making investment decisions.
In addition, the team is involved in cross-functional Treasury and Finance projects, digitalization and standardization projects. The team works very closely with a variety of internal and external stakeholders such as banks, auditors, CFOs, chief accountants, and tax managers.
KEY DUTIES AND RESPONSIBILITIES