Job Title:  Manager | Treasury | Bengaluru | Regulatory & Financial Risk

Job requisition ID ::  103056
Date:  May 7, 2026
Location:  Bengaluru
Designation:  Manager
Entity:  Deloitte Touche Tohmatsu India LLP

Manager | Regulatory, Risk & Forensic | Regulatory and Financial Risk | Treasury & Risk Management 

  • Location:  Bangalore

The team

Deloitte Strategy, Risk & Transaction helps entities mitigate risk while discovering new opportunities to create value. Our end-to-end risk services span all domains, from managing strategic risks in the C-Suite to improving board oversight, and from balancing financial and environmental policies to addressing cyber threats. Learn more about Risk, Regulatory & Forensic)

Your work profile

  • Lead and deliver SAP S/4HANA Treasury & Risk Management implementations, rollouts, and support engagements.
  • Configure and manage Cash Management, Bank Account Management, Liquidity Planning, and Cash Position reporting.
  • Implement and support In-House Banking, including internal loans, payment factory operations, and intercompany processes.
  • Good Knowledge of SAP In-House Cash (IHC), Payments on Behalf Of (POBO), Collections on Behalf Of (COBO), Receivables on Behalf Of (ROBO), Cash Pooling, Internal Payments and Netting.
  • Set up and manage Bank Communication Management (BCM), including payment approval workflows.
  • Integrate SAP Treasury with external banking systems using SWIFT, Host-to-Host connections, APIs, and SAP MBC.
  • Support Market Risk, Credit Risk, Exposure Management, and Hedge Management processes within TRM.
  • Manage Debt & Investment processes, including Money Market, FX, and Derivatives transactions and accounting.
  • Work collaboratively with FI, CO, MM, SD, and technical teams to ensure seamless cross-functional integration.
  • Prepare functional specifications, test scenarios, training materials, and lead User Acceptance Testing.
  • Partner with business stakeholders to convert requirements into effective SAP solutions.
  • Provide ongoing production support, troubleshoot issues, and recommend system optimizations.

Key skills required: 

  • 6+ years of hands-on experience in SAP Treasury solutions (preferred).
  • Strong understanding of SAP S/4HANA Finance, with deep experience in the SAP TRM module.
  • In-depth knowledge of:
  • Cash & Liquidity Management
  • Bank Account Management (BAM)
  • In-House Banking / Payment Factory
  • Bank Communication Management (BCM)
  • Financial Risk Management (FX, Money Market, Securities, Derivatives)
  • Exposure & Hedge Management
  • Solid understanding of integrations with FI, MM, SD, and SAP IHC/TRM components.
  • Experience with SWIFT, SAP MBC, APIs, and digital payment technologies.
  • Strong hands-on skills in configuration, testing, documentation, and business process design.
  • SAP S/4HANA Treasury / Cash Management certification (preferred).
  • Experience working with SAP Activate Methodology.
  • Exposure to migration projects from ECC to S/4HANA Treasury.
  • Excellent communication, stakeholder management, and analytical skills.