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Showing 10 jobs
Skills:
Ms Excel, Financial Accounting Reporting under IFRS 9, Risk Assessment, Digitization in Treasury Reporting and Controls, Derivatives reporting, hedge accounting, Wallstreet Treasury Suite, Reporting
Skills:
treasury management systems (TMS), risk management, Liquidity Management, hedging strategies, forex operations, Negotiation, financial software tools, Fund Management, Cash Flow Forecasting, Financial Modeling, Regulatory Compliance
Skills:
Treasury Controls, Working Capital Optimization, commodity risk management, FX Hedging Strategies, Treasury Automation, Liquidity Management, Data Visualization Tools, Import and Export Documentation, Trade Finance, hedge accounting, Reporting Best Practices
Skills:
automation, Internal Controls, Treasury Risk Management, audit requirements, Bank Connectivity, process improvement, Treasury Management Systems, Sox Compliance, FX Operations, In-House Banking, Kyriba, Cash Liquidity Management
Skills:
Treasury experience, Microsoft Word, Reporting visualization tools
Skills:
regulatory knowledge, Treasury Reporting MIS, Banking Cash Management, Excel financial modelling skills, foreign exchange management, Investment Management, Intercompany Fund Flows, Internal Controls Policies, IPO Readiness, MAS Compliance, banking relationships, FEMA RBI Compliance, fx hedging, Systems Proficiency in ERP systems, Cash Liquidity Management
Skills:
ERP systems (SAP, Microsoft Dynamics or similar), User Access Management, Power Bi, Reporting Tools, Microsoft Excel, Oracle, Cybersecurity, Electronic banking solutions, Payment platforms, Information security best practices, Identity governance principles, SWIFT connectivity, Segregation of duties, Online banking platforms, Treasury management systems, Internal control frameworks
Skills:
risk management, Treasury Operations, treasury policies, Financial Modelling, Cash Flow Forecasting, TMS implementation, CFA, Ca
Skills:
Dashboards, Liquidity Management, guarantees, hedging execution, Collections, foreign currency exposures, Treasury Operations, exchange rate movements, credit facilities, Internal Controls, LC BG documentation, Cash Flow Forecasting, shipping documents, Bank Reconciliations, cash reports, working capital limits, remittances, FEMA compliance, intercompany transfers, cash positioning, Trade Finance, treasury policies, Forecasts, Regulatory Requirements, import export transactions, Payments, treasury MIS, Banking Operations
Skills:
documentation', Compliance, Fund Management, Banking Operations, treasury reporting, Working Capital
