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Role Overview
As a Treasury Manager, you will be responsible for managing the day-to-day operations of the India-based treasury services team, which works closely with the US-based Corporate Treasury team to conduct treasury functions such as cash management, payments, forecasting, accounting and banking system administration. You will also provide operational management and leadership to the India treasury team, with emphasis on continuous improvement to efficiency and strategic capability. You will report to the US-based AVP of Treasury Operations.
Management of the day-to-day cash operations. The incumbent will work closely with finance, business units, tax and investment departments to ensure funding needs are met.
PProfile Description
• Daily Bank Administration Institute (BAI) file monitoring
• Perform End of Day Activities
• Cash Forecasting and Open Bank Accounts
• Bank Fees Processing and Disbursement Funding
• Daily Reimbursement Wires and Process returned Wires
• Admin Server Manual Adjustment / Void/Stop Pay
• Other Ad hoc Activities and Manual ACH Returns
• Process Tax Payments and Bank Account Monitoring
• Journal Entries and Resolution of Errors
• Credit Card Premium and Chargeback Processing
• Dealing with foreign exchange and other money market tools
• Preparing for future cash positioning for client firm.
• Participating in development of new procedures
• Maintaining the treasury procedures
• The role requires experience in Treasury back office function related to settlements and
payment processing
Desired Experience and Skillset
• Degree in Financial Management with 3-6 years of experience.
Job Description – Senior Associate | Treasury
• Understanding of simple treasury products (e.g., cash management, derivatives, investment,
etc.).
• Liquidity and balance management.
• Ability to work with high deal of accuracy.
• Ready to work with team
• Should be a strong communicator
• Experience in administration of bank and fiduciary accounts and services.
• Knowledge of processing electronic money transfers
• Cash position worksheets and short-term investments.
• Working knowledge of simple treasury products (e.g., cash management, derivatives,
Investment, etc.)
• Good knowledge of financial analysis and reporting.
• Liquidity and balance management.
• Ability to communicate verbally and through emails with businesses.
Other Requirements
Job ID: 147458575
Skills:
funds transfer pricing, Financial Reporting and Performance Management, Banking Technology Infrastructure, Funding Liquidity Risk, Funding Liquidity Regulations, Interest Rate Risk in the Banking Book, Product Business Knowledge, Balance Sheet Management, Capital Reporting Management, Planning Modelling Forecasting
Skills:
Data Architecture, funds transfer pricing, Liquidity risk predictive models, Funding Liquidity Risk, Cash flow modelling, Funding Liquidity Regulations, Building end to end inhouse data flows, Balance Sheet Management, Data Analysis, Trade simulations, Interest Rate Risk in the Banking Book, Data transformations
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