نُشرت في 30 يوليو 2026 · تحققنا في 02 سبتمبر 2026 من أنها ما زالت متاحة
Gather, analyze, and document business requirements related to Treasury and Bank Management. Design and configure SAP TRM-BM solutions based on business needs. Configure and support: Bank Account Management (BAM) Cash Management Cash Operations Liquidity Management Electronic Bank Statement (EBS) In-House Cash (IHC) (if applicable) BCM (Bank Communication Management) Multi-Bank Connectivity Integrate Treasury processes with: SAP FI (General Ledger, AP, AR) FSCM SAP Fiori SAP S/4HANA Finance Sup…
أنشئ حسابًا مجانيًا لعرض الوظيفة كاملة والتقديم عليها.