Job Profile Summary
This position is for a developing professional individual contributor in Treasury Operations who works under moderate supervision. The role will support bank operations and implement cash management solutions.
Job Profile Description
- Works regularly with Group Treasurer, FPA, Tax, Controllership and Legal teams
- Develop strong understanding of working capital and end-to-end order to cash and procure to pay lifecycles
- Bank Account Administration : Prepares all documentation required to open, close or amend bank accounts and to implement cash management solutions; supports periodic review of existing accounts to identify updates to signers or fraud controls and implement the changes
- Bank Account Administration : Maintains data related to bank accounts, intercompany loans (in conjunction with Tax), letters of credit (if / when applicable), etc.
- Intra-group Funding : Acts as liaison with finance hubs to support their cash management / banking needs and serves as service escalation point between entity controllers / banks and acts as central contact for bank inquiries
- Cash Management : Executes ad hoc corporate payments and cash transfers as required
- India Bank Account Administration : Principal point of contact for local India banks and primary relationship manager
- Bank Account Administration : Tracks and prepares analysis of bank fees and wallet share
- Cashflow management – Cash flow forecasting in collaboration with Ap & AR teams. Help GT with daily cash flow model
- Work on systems and process optimization opportunities
Education & Experience :
Graduate in accountancy or related degree in finance, accounting, business.Post-Graduation preferredAccountancy of Treasury qualification preferred6-8 years of progressive experience in Treasury within GICs or Banking Industry