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We're looking for a detail-oriented and analytical Treasury Analyst to join our finance team in Bengaluru, India. In this role, you will be responsible for managing cash flows, analyzing financial data, and supporting treasury operations to optimize the organization's liquidity and financial position. The ideal candidate will demonstrate strong analytical capabilities, exceptional organizational skills, and a commitment to accuracy in all financial matters.
Key Duties & Responsibilities:
Process High priority wire payments - gain confidence in processing wires in banking platforms within turnaround time and before cutoff.
Funding different accounts in various bank - Learn the basics of Cash Positioning and get approval from authorized employees to fund accounts. This facilitates payments other business units request to Treasury, immediately due to liquidity availability.
Decision-making - Learn the different processes in Treasury as quick as possible to gain confidence in making decisions regarding wire process and checks approval in various banks.
On Time Delivery of Daily Cash Report - Learn how to prepare the report working with reporting manager and other members of the team to deliver it accurately and on time daily without fail.
WORKING AT ALTISOURCE ADVANTAGES
Prosperity
Good Health
Happiness
OUR CORE VALUES
Are you up to the challenge What are you waiting for Apply today!
Altisource Portfolio Solutions S.A. (NASDAQ: ASPS) is an integrated service provider and marketplace for the real estate and mortgage industries. Combining operational excellence with a suite of innovative services and technologies, Altisource helps solve the demands of the ever-changing markets we serve.
Job ID: 146573545