
Associate Specialist - Treasury Operations
- Bangalore, Karnataka
- Permanent
- Full-time
- Experience with Treasury & Risk Management, Cash & Liquidity Management, In-House Cash, and Bank Communication Management.
- Work with Internal Auditors and ensure Zero SOX Deficiency.
- Partner with regional Treasury process teams for daily operations.
- Understand end-to-end business processes and their impact on the Treasury function and apply technology to improve the process.
- Provide ongoing support for banking issues, troubleshooting problems, and coordinating with financial institutions as necessary for bank statement failures.
- Identify opportunities for process improvements and automation within present workflows.
- Continuously evaluate processes, implement learnings, and apply best practices.
- Monitor daily cash and cash equivalents to present to senior stakeholders.
- Oversee Kyriba bank statement monitoring process.
- Manage In-House Bank (IHB) processes, including unapplied funds to G/L, intercompany loan and deposit reporting, and intercompany cash pooling.
- Chartered Accountant (0-2 years) from the Institute of Chartered Accountants of India will be given preference.
- B. Com/M. Com with 2 to 3 years of experience.
- Functional knowledge of core Treasury processes, including cash positioning, forecasting, bank account management, payments, FX, and settlement would be an added advantage.
- Strong analytical skills and the ability to manage large amounts of data.
- Strong analytical and communication skills.
- Cross-functional stakeholder management skills.
- Eager to learn and adapt to new challenges.
- Self-starter with the ability to work independently and proactively.