Treasury Analyst (India)Location: Hyderabad/ Remote
Experience: 1-3 Years
Employment Type: Full-time
About Autocash AIAutocash.ai is an intelligent finance automation platform that helps CFOs and finance teams modernize cash flow forecasting, treasury operations, and working capital management using AI.
We're redefining how mid-market companies run their finance functions connecting directly to banks, ERPs, and payment systems to deliver real-time insights, automation, and decision intelligence.
We're a fast-growing venture-backed startup in the Batchery accelerator, serving customers across multiple industries from media and manufacturing to fintech and nonprofits. Our team combines deep finance domain expertise with cutting-edge AI and product innovation.
Position OverviewWe are looking for a Treasury & Financial Analyst (FP&A) who will play a critical role in strengthening our financial operations and supporting strategic decision-making in a rapidly growing SaaS environment.
In this role, you will work closely with finance, product, and operations teams to develop financial models, manage cash forecasting, and deliver data-driven insights that support company growth.
What will you doFinancial Planning & Analysis- Build and maintain financial models covering revenue, expenses, and cash flow forecasting.
- Support annual budgeting, financial planning, and long-range forecasting.
- Track and analyze key SaaS metrics, including ARR, CAC, churn, and unit economics.
- Perform variance analysis to identify trends and provide actionable insights.
Treasury & Cash Flow Management- Manage treasury operations and cash flow forecasting.
- Monitor liquidity positions and support working capital optimization.
- Prepare treasury reports and financial performance dashboards for leadership.
Reporting & Business Insights- Lead monthly and quarterly financial reporting for management and investors.
- Develop clear insights on financial performance, growth drivers, and cost optimization.
- Partner with leadership to support strategic financial decision-making.
FP&A Tools & Analytics- Build and maintain financial dashboards using Excel, Power BI, or QuickSight.
- Develop standardized reporting templates and financial tracking systems.
- Collaborate with product and data teams to align operational metrics with financial KPIs.
What skills do you need- 13 years of experience in FP&A, treasury, consulting, or financial operations.
- Bachelor's degree in Finance, Accounting, Economics, or related field.
- Strong financial modeling and forecasting skills.
- Advanced proficiency in Excel or Google Sheets.
- Experience with Power BI, QuickSight, or financial dashboards is a plus.
- Strong analytical mindset with the ability to connect business metrics to financial performance.
- Excellent communication and presentation skills.
- Interest in AI, automation, SaaS, or fintech innovation.
Why will you love to work with us- Join an early-stage SaaS startup at a pivotal moment and help shape the future of financial automation.
- Build systems where AI, financial analytics, and automation converge.
- Take ownership of financial modeling, reporting, and treasury insights that drive strategic decisions.
- Be part of the growth with meaningful stock options.
- Work closely with a U.S.-based leadership team and advisors from SaaS, treasury, and AI backgrounds.
What We Offer- Competitive salary and benefits package.
- Equity participation in a high-growth SaaS startup.
- Opportunity to build and scale Autocash's India engineering hub from the ground up.
- A collaborative, innovation-driven culture.
How to ApplySend your resume and a brief cover letter to [Confidential Information]