About Us
QX Global Group is recognized as a Great Place to Work® and is dedicated to fostering an inclusive and diverse workplace. We are committed to innovation and continuous improvement, driving us towards operational excellence and market leadership.
Job Overview :
Commerce Graduate with 2-4 years’ experience, who can help to manage and review daily cash management activities, preparation and review of cash flow, monthly interest expense and accruals, monthly journal entries and accruals. And working with client stakeholders for other related treasury activities.
Key Responsibilities
Through understanding of forex and derivative market.
Deep knowledge of exposure management, hedging instruments and strategies.
Understand interest rate scenarios in various geographies.
Able to analyse the fast-changing economic scenarios.
Banking regulatory framework in major economies of world
SOX and operating within the control framework
Fair understanding of hedge and investment accounting
Cash & Liquidity Management
Manage required liquidity in all legal entities and bank accounts
Must haves :
2+ Year(s) of experience with international treasury accounting and bank reconciliation.
Strong communication and presentation skills (both written and verbal).
Familiarity with MS Outlook and MS Office.
Knowledge of Broker Insurance industry is preferred
Great team player
Qualifications : B.com / M.com / MBA
What We Offer
Joining QX Global Group means becoming part of a creative team where you can personally grow and contribute to our collective goals. We offer competitive salaries, comprehensive benefits, and a supportive environment that values work-life balance.
Work Model
Location : Noida
Model : WFO
Shift Timings : 12 : 30PM IST – 10 : 00 PM IST / 1 : 30 PM IST – 11 : 00 PM IST
Senior Executive • Belgaum, Karnataka, India