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Management Sap

Location:
Gaithersburg, MD
Posted:
January 14, 2018

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Resume:

Peter ac3073@r.postjobfree.com

CAPSULE

Peter is a SAP S4 Architect, has experience in Basis and Architecture with minimum of 3 end-to-end cycle SAP ERP implementations from project preparation through go-live (FLC) at Woodside Energy – Perth WA,Autsrlia, Briggs&Stratton, WME/IMG, only SUM- Software Upgrade Managemnt- DMO- Data Management Oprtion at AC Nielsen and SON PE. Have 3 end-to-end cycle upgrade experience

3 years of experience with Unicode Migration, 3 years of experience with Platform/Database migration, and 2 year with S/4HANA, or Suite on HANA using Database Migration Option (DMO).

Experience 2 years of experience in High Availability and Disaster Recovery.

Peter has experience in deliver Finance projects from TCS, VW-gedas, IBM/ISSC, lead and support Finance pursuits and practice development initiatives from Blue print to Go Live and After Go Live support with Hands On Configuration and ABAP/4 2 years experience and Intellectual Caiptal and access to a preconfigures SadnBox and member of SAP PartnerEdge.

Peter Has developed external eminence across the sub-capabilities in Finance, Promote and participate in forums for sharing Finance expertise, strengthening Deloitte’s collective Finance knowledge and helping resolve our clients’ Finance challenges, Collaborate on innovative solutions to support the future of Finance, Develop your knowledge of and gain project experience in SAP’s new S/4 HANA Finance and future solutions

Core Finance - General Ledger, Accounts Payable, Accounts Receivable, Fixed Assets, Controlling, Costing, Treasury

Peter has enterprise Performance Management Solutions - BPC, Cloud for Planning Financial Reporting.

Peter has experience PMP experience and certification, Designing SAP S/4 HANA IS Life Science at Pfizer, KAO, KMMI, Alberto Culver/Unilever, Walgreen and other industries, Lumira and Fiori supporting TCS Center of Excellent at Cincinnati, Paris and Mumbai/Bangalore

Designed Architect for 23 companies S/4 Transition/Migration Greenfield and Brownfield for:

Companies: Sony PE, KAO, KMMI, Mitsubishi Heavy Industry Information Services with

-specific emphasis on Japanese Calendar Hei Sei,Japanse Accounting Practice such as Japanese Tax, Brazil Nota Fiskal and Dian in Latin Americas with Golden Tax in China.

-Supporting the knowledge transfer Japanese colleagues in Japan, US and global operations

-Perusing SAP Waldorf claims against reality on the S/4 HANA implementation globally – Greenfield and Brownfields and every SLT scenarios such as complete S/4 Interface for all ECC modules such as Finance, OTC, PTP, HCM-Success factor, Logistics, PS

Improve requirement specification against Japanese companies operation in Japan business knowledge pools that may not be covered in US requirements specification

Experience in Fiori Apps, and S/4HANA experience

Peter was point of contact from SAP treasury management work with third party solution provider to address any interfacing requirements, process, mapping, fields details and interacting, work closely with Internal Treasure team to get aligned on any requests/deviations

-He leads and conducts as a global SPOC in addressing Business queries and addressing them in a timely manner, has strong communication - verbally and written: Hands on configuration using Activate methodology, Master Data and ECC conversion using Simplification, Harmonization and standardization, managing SUM and DMO process. migration and transformation to S/4 HANA with FLC S4 HANA- 1) FLC with WME/IMG – Rapid Deployment System – using Simple Finance and Central Finance, 2) FLC greenfield at SNOY PE,,3) FLC Brownfield with Woodside Energy Pert WA- Australia. 4) FLC at Briggs&Stratton, partial at AC Nielsen to POC, partial at Walgreen using multiple Module Interface. and 25 Pre Sale design

- Creating/Editing Single Cash Management Records Manually

- Cash Concentrations

- In House Cash

- Displaying the Clearing Activity in Cash Position

- Creating Payment Orders for the Banks

Peter has Experience working in IT development environment with more than 7 years as project manager at TCS, IBM GBS and experience in implementing COTS products and integration with COTS products such as SAP, e5Solution and Hanse Orga products.

Soft skills:

Experience working as SAP consultant with Tata Consultancy Services, IBM/ISSC, and Volkswagen gedas

Excellent communication (written and verbal) – preparing and presentation, workshops and gathering business and technical requirements with the level of CFO and CTO from Journal entries clerk, technical, functional SME.

-- Problem solving skills- migration to SAP S.4 HANA require Simplification, Harmonization and Standardization in Business Processes, SAP functional and technical at ABAP/4 level at SONY PE, 25 TCS clients, AC Nielsen, WME/IMG, Brigg& Stratton, Walgreen

-- Strategic thinking and set vision

-- Demonstrates Leadership skills

-- Team management

-- collaborative working style

-- Able to set KPI target and goals to achieve overall organization goals- at Pfizer saving 3 billion in 3 years, at US NAVY completed avoidance of 5 billion IBM debacle, Achieved at TCS 2.5 billion contract with AC Nielsen

Industry Chronological Experience in SAP Best Practice in ECC and S/4 HANA

TCS Enterprise Solutions Architect Consultant TCS COE Cincinnati, Paris, Mumbai, Bangalore, S/4 HANA FICO Architect Consultant since October 2015 – Now.

Designing SAP S/4 HANA IS Life Science and other industries, Lumira and Fiori

Designed Architect for 23 companies S/4 Transition/Migration Greenfield and Brownfield for:

Japanese companies: Sony PE, KAO, KMMI, Mitsubishi Heavy Industry Information Services with

-specific emphasis on Japanese Calendar Hei Sei,Japanse Accounting Practice such as Japanese Tax, Brazil Nota Fiskal and Dian in Latin Americas with Golden Tax in China.

-Supporting the knowledge transfer Japanese colleagues in Japan, US and global operations

-Perusing SAP Waldorf claims against reality on the S/4 HANA implementation globally – Greenfield and Brownfields and every SLT scenarios such as complete S/4 Interface for all ECC modules such as Finance, OTC, PTP, HCM-Success factor, Logistics, PS

-Improve requirement specification against Japanese companies operation in Japan business knowledge pools that may not be covered in US requirements specification.

Other non-Japanese companies:

Walgreens, Fairfax Media(Sydney-NSW), Becton Dickinson (M&A), Burger King (JVA-with Tim Horton),, AC Nielsen, WME/IMG, UTC/Sikorsky/Black Hawk, CAMECO, Whirlpool, Astellas, Pfizer, Johnson&Johson, ABBVIE, Genre, Life Mutual, Woodside Energy Ltd (Perth- West Australia), Whirlpool, Astellas, Bombardier ATV, Honeywell, Siemens

Full Life Cycles:

Woodside Energy Consultant S/4 HANA FICO Architect Consultant Sept 2016 – Now 2 project in parallel – with Briggs & Stratton

SAP S/4 HANA using Activate Methodology in Finance and Treasury.

SAP Treasury process and Hands on configuration, Customed enhancement and special reports skills for SAP Treasury for:

- Bank Account Management (BAM) & BCM (Bank Communication Management), Cash Management, In-House Cash Payments, Cash Pooling, IC Settlement

Banking statements and transactions, Liquidity Management – Cash Position, Liquidity Forecasting, Liquidity Planning.

TM Transaction Management, Money Market, Commercial Paper, Intercompany loans

Short-Term Investment & Borrowing

Market Data, FX, Currency, Securities

Foreign Exchange Spot, Forwards, Swaps

Knowledge of bank integration with SWIFT net, SWIFT FIN formats, including MT101, MT103, MT940, MT942

Knowledge of ISO XML payment formats for payments and BAI2 format for the bank statements.

Briggs&Stratton Sr. SAP FICO Consultant Sept 2016 – Now – after Go Live Supports for US, Europe/Austria/Poland/Japan- Version 1610

SAP S/4 HANA BAM- Bank Account Number, F110-F111- Payments, Treasury Cash Management for Global-EMEA, APAC and Americas SAP Controlling and FI- Finance Treasury and Cash Management in multi currencies (EURO, USD, Asian currencies, APAC currencies, Global Hedge fund

TRM – using Market Risk Analyzer Structured Monte Carlo Risk Analyzer.

day-to-day treasury process: BCM- using SWIFT network namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account

WME/IMG Sr. SAP FICO Consultant July 2015 – January 2016 – after Go Live Supports for US- Rapid Deployment – FLC- Full Life Cycle from Simplification SUM- DMO version 1503- 1511

SAP S/4 HANA BAM- Bank Account Number, F110-F111- Payments, Treasury Cash Management for Global-EMEA, APAC and Americas SAP Controlling and FI- Finance Treasury and Cash Management in multi currencies (EURO, USD, Asian currencies, APAC currencies, Global Hedge fund

TRM – using Market Risk Analyzer Structured Monte Carlo Risk Analyzer.

day-to-day treasury process: BCM- using SWIFT network namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account

Walgreen Sr. SAP FICO Consultant Sept 2014 – July 2015 – after Go Live Supports for US and Canada

SAP S/4 HANA BAM- Bank Account Management- ACH, Wire transfer domestic Treasury Cash Management for Global-EMEA, APAC and Americas SAP Controlling and FI- Finance Treasury and Cash Management in multi currencies (EURO, USD, Asian currencies, APAC currencies, Global Hedge fund

TRM – using Market Risk Analyzer Structured Monte Carlo Risk Analyzer.

day-to-day treasury process: BCM- using SWIFT network namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account

United Technology Corporation Sr. SAP FICO Consultant Sept 2013 – August 2014 – after Go Live Supports

SAP Treasury Cash Management for Global-EMEA, APAC and Americas SAP Controlling and FI- Finance Treasury and Cash Management in multi currencies (EURO, USD, Asian currencies, APAC currencies, British Pound Sterling, Hedge fund

TRM – using Market Risk Analyzer Structured Monte Carlo Risk Analyzer.

day-to-day treasury process: BCM- using SWIFT network namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account.

The design is to ensure liquidity for all due payment obligations, control and monitor the incoming and outgoing cash flows.

.

SAP Treasury Cash Management in Liquidity Analysis for AP/AR and In House Cash Payments using ISO20022 xml format

- Creating/Editing Single Cash Management Records Manually

- Cash Concentrations

- Displaying the Clearing Activity in Cash Position

- Creating Payment Orders for the Banks

Experience SAP Payment method Workbench for xml, JPM Chase Flat file for check printing, DMT, GMT wire for APAC, Americas and EMEA

Deployment of ECC from Business Blue Print to Go Live and After Go Live support

Sap Credit management Module

FICO implementation enhancement especially in FI/CO posting for lean inventory. Design configured Product Costing run.

SAP Implementation to convert from Legacy Systems to SAP Product costing SAP FI/CO, SD-OTC-Order to Cash, MM- PTP- Procure to Pay, PP- Plan to Produce.

Independent Consultant S/4 HANA FICO Architect Consultant Sept 2011 – Sept. 2012 –

SAP S/4 HANA using Activate Methodology in Finance Cash Management and Logistics for several clients namely, WME/IMG and Bank of America. In various stages from Architecture design, to POC to Rapid deployment. Partner with SAP America, SAP Canada.

CAMECO- Saskatoon, SK-Canada Sir SAP FICO Consultant July 2010 – Sept, 2011 – after Go Live Supports

Working together with Hanse Orga

SAP- Treasury Cash Management for Global-EMEA, APAC and Americas SAP Controlling and FI- Finance Treasury and Cash Management in multi currencies, Hedge fund

day-to-day treasury process namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account.

Special implementation in TRM for Using SAP HANA Dashboard for Front office (trading strategy using what if scenarios such as what if the price of oil set at fixed price), Bank Office( Treasury execution) and Middle Office(master data and IT related functions

The design is to ensure liquidity for all due payment obligations, control and monitor the incoming and outgoing cash flows.

Using Hanse Orga SYMQ for market Risk Analyzer with Structure Monte Carlo.

SAP Treasury Cash Management in Liquidity Analysis using F110 and F111 SAP PMW- for ISO20022 xml, Check JPM Chase flat file for Swiss Bank, Netherland and Uzbekistan

- Creating/Editing Single Cash Management Records Manually

- Cash Concentrations

- Displaying the Clearing Activity in Cash Position

- Creating Payment Orders for the Banks

Deployment of ECC from Business Blue Print to Go Live and After Go Live support

Sap Credit management Module

FICO implementation enhancement especially in FI/CO posting for lean inventory. Design configured Product Costing run.

SAP Implementation to convert from Legacy Systems to SAP Product costing SAP FI/CO, SD-OTC-Order to Cash, MM- PTP- Procure to Pay, PP- Plan to Produce.

BANK OF AMERICA Sir SAP FICO Consultant July 2010 – Sept, 2011 – after Go Live Supports

For IS Banking and Financial Institution - Treasury Cash Management for Global-EMEA, APAC and Americas SAP Controlling and FI- Finance Treasury and Cash Management in multi currencies, Hedge fund

day-to-day treasury process namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account.

The design is to ensure liquidity for all due payment obligations, control and monitor the incoming and outgoing cash flows.

.

SAP Treasury Cash Management in Liquidity Analysis

- Creating/Editing Single Cash Management Records Manually

- Cash Concentrations

- Displaying the Clearing Activity in Cash Position

- Creating Payment Orders for the Banks

Experience in SAP IS Banking Consolidation, Budget and Financial Planning using SAP Bank Analyzer, SAP BPC, and Hana, ECC configuration and BPC script- VB script and BPC BADI.

BPC was designed to handle consolidation for GAAP domestics with 34 countries business interests, Domestic tax with 16 process to meet ASC 740 and Compliance Assurance Process- CAP, Business Finance Planning and Budgeting

Deployment of ECC from Business Blue Print to Go Live and After Go Live support

Sap Credit management Module

Bank Analyzer

FICO implementation enhancement especially in FI/CO posting for lean inventory. Design configured Product Costing run.

SAP Implementation to convert from Legacy Systems to SAP Product costing SAP FI/CO, SD-OTC-Order To Cash, MM- PTP- Procure to Pay, PP- Plan to Produce.

MICROSOFT Sr. SAP FICO Consultant July 2009 – June 2010

For IS High Tech -Treasury Cash Management for Global-EMEA, APAC and Americas SAP FICO Treasury and Cash Management in multi currencies, Hedge fund

day-to-day treasury process namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account.

Specific Solutions Using ISO 20022 IDOC solution and e5Solutions for PR00 (Payment Requests) and PR01(payment execution)

The design is to ensure liquidity for all due payment obligations, control and monitor the incoming and outgoing cash flows.

SAP Treasury Cash Management in Liquidity Analysis

- Creating/Editing Single Cash Management Records Manually

- Cash Concentrations

- Displaying the Clearing Activity in Cash Position

- Creating Payment Orders for the Banks

Experience in Consolidation of High Tech Company, Budget and Financial Planning using SAP ECC, Hana and BPC configuration and BPC script- VB script and BPC BADI.

Experience in Business Blue Print to Go-Live and After Go Live.

Deployment ECC using IS High Tech FICO full cycle to SAP and Microsoft Cloud of Dynamic ERP to AC, AMERICAS and EMEA for Merger and Acquisition, SAP CO, Product Costing, light CCA/PCA, split valuation, account determination, and building some interfaces between different instances of SAP specifically manufacturing instance to the main corporate instance.

FICO implementation enhancement especially in Treasury meeting ISO20022, IBAN and SEPA.

Cost controlling related to Product Costing Implementation issues and production support from past clients concentrating on issues like reporting, user exits

NAVY SAP FICO Consultant July 2008 – June 2009

Implement SAP IS Aero/Defense for FICO, Fund Management, disbursement of Budget from OMB office to Fund centers, allocating Budget, setting up Budget, fund center to enable PR, PO, Service order, HR Payroll Implementation of Customer Projects for an Engineer to Order environment in addition to revamping their Capital Projects/Asset Management implementation.

Integrated between FICO- IS Aero and Defense to PS and SD/HR/ PP/MM and all of the associated accounting issues of customer oriented projects (Results Analysis, TECO, RRG, and Milestone Billing.)

KIA MOTOR MANUFACTURING SAP FICO CONSULTANT JUL. 2006 – JUN. 2008

For IS Automotive -Treasury Cash Management for Global-EMEA, APAC and Americas SAP FICO Treasury and Cash Management in multi currencies, Hedge fund

day-to-day treasury process namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account.

The design is to ensure liquidity for all due payment obligations, control and monitor the incoming and outgoing cash flows.

SAP Treasury Cash Management in Liquidity Analysis

- Creating/Editing Single Cash Management Records Manually

- Cash Concentrations

- Displaying the Clearing Activity in Cash Position

- Creating Payment Orders for the Banks

Deployment SAP FICO- IS Automotive to APAC, AMERICAS and EMEA for Merger and Acquisition.

SAP CO, Product Costing, light CCA/PCA, split valuation, account determination, and building some interfaces between different instances of SAP specifically manufacturing instance to the main corporate instance.

SD, MM, FSCM, FI- AP, AR, GL – daily entries, reversals, enterprise structure, Chart of Account, end of period closing, year closing.

Controlling- Cost Element Accounting, Cost Center Accounting, COPA

HR – Payroll

VOLKSWAGEN= ROCHESTER HILL, MI SAP FICO Consultant Jan. 2004 – June 2006

For IS Automotive-Treasury Cash Management for Global-EMEA, APAC and Americas SAP FICO Treasury and Cash Management in multi currencies, Hedge fund

day-to-day treasury process namely determining the current liquidity using bank account balances (cash position), determining open receivables and liabilities (liquidity forecast), manually entering planned cash flows (payment advice notes), through to clearing bank accounts, collecting multiple bank account balances on one target account.

The design is to ensure liquidity for all due payment obligations, control and monitor the incoming and outgoing cash flows.

SAP Treasury Cash Management in Liquidity Analysis

- Creating/Editing Single Cash Management Records Manually

- Cash Concentrations

- Displaying the Clearing Activity in Cash Position

- Creating Payment Orders for the Banks

Discrete Manufacturing

SD, MM, FI- AP, AR, GL – daily entries, reversals, enterprise structure, Chart of Account, end of year closing.

Controlling- Cost Element Accounting, Cost Center Accounting, COPA

Travel expenses interface. HR Payroll

Lockheed Martin – Bethesda, MD Jan. 2001 – Dec. 2003

Project EIS – Enterprise Information Services – Merging SAP R/3 4.7 Finance interface to Longview Consolidation

Merging Aero division with missile division for a full cycle implementation FICO,AR, AP, GL, AA, CO, CEA, CCA, COPA ACH, PS, integrated to SD, MM, PP and HR,

Project started in Business Blue print, Hands on Configuration, Unit test, Integration test to cur over to Go Live and after Go Live supports using ASAP Methodology.

Project completed on time within budget

Andersen Business Consulting- Chicago, IL– Jan. 1998 – Dec. 2000

Project at G&K Accelerated Finance (Full Cycle- FICO, AR, AP.GL, AA, integrated to SD, MM, Payroll, Banks- ACH, Lockbox, Wire Transfers), Baylor Medical (partial in user’s acceptance test, Consumer Glass (Cut over, Go Live for FICO, SD, MM, Supply Chain) in compliance to US standard GAAP Statutory compliance, ACH, Lockboxes, Wire transfer domestics and international, EDI from Europe Edifact to US standard X.12.

Other projects: Robert Bosch, as fixing issues in FICO, SD, MM, PP, PS, HR- Payroll

ISSC (IBM subsidiary) – Chicago IL November 1995 – December 1997

Project at Stanley Tools, Hershey bringing US standard for VMI, US standard for ACH, Lockboxes, Wire transfer domestics and international, EDI from Europe Edifact to US standard X.12.

Other projects: Hershey, Unisource, Coca Cola as fixing issues in FICO, SD, MM, PP, PS, HR- Payroll

1993-1995- Projects with Alcatel in Stuttgart Germany implementing SAP R/3 version 2.1

TECHNICAL SKILLS

ERP SAP ECC 6.0/5.0/4.7/4.6c, SCM, SRM, OpenText VIM, BPC10, EPM

Modules FI/CO, SCM/APO

Operating Systems Windows NT/2003, LINUX< IBM OS/390 and UNIX

Programming Languages ABAP/4, C#, VB .net, VB Script, BPC Script, XML, IDOC

Databases Oracle 8i, MS Access, Sybase

GUI SAP WEB GUI

EDUCATION

Bachelor of Applied Science: Information System – University of Waterloo

Arthur Andersen Business Consultant in Accounting and Audit Consulting.



Contact this candidate