About The Role
We are looking for a detail-oriented Treasury Analyst to join our Corporate Treasury team in Bangalore. The Treasury Analyst will support day-to-day treasury activities, including payment processing, bank and Kyriba administration and corporate card management, ensuring accuracy, compliance, and timely execution across U.S. and Canadian banking platforms.
Job Description :
Designation : Treasury Analyst
Reporting to : Senior Executive Accounts
Location : Bangalore
Qualification : BCom / Mcom
Experience : 4-6 years of experience (0–2 years of experience in treasury operations)
Position Overview
We are looking for a Treasury Analyst who plays a key role in supporting the company’s global cash management and banking operations. This position is responsible for assisting with daily treasury activities, including payment processing, bank platforms (US & Canada) and corporate card program support. The analyst ensures all transactions are completed accurately, securely, and in compliance with company policies and audit requirements. Working closely with Business Unit Controllers, Finance, and Corporate Treasury
Mandatory Skills
- Strong attention to detail and high level of accuracy in handling financial data and payments.
- Good understanding of basic accounting and finance principles.
- Proficiency in Microsoft Excel (data entry, formulas, reconciliations, and reporting).
- Effective communication skills both written and verbal for coordination with internal teams and banking partners.
- Analytical and problem-solving ability to identify and resolve discrepancies or process gaps.
- Organized and time-managed, capable of meeting tight deadlines in a fast-paced environment.
- Ability to work independently and collaboratively within a team.
- High level of integrity and confidentiality in handling financial and banking information.
Required Qualifications
Bachelor’s degree in Finance, Accounting, Commerce, or Business Administration (Master’s degree or professional certification is a plus).0–2 years of experience in Treasury Operations, Accounts Payable, Cash Management, or Banking (internship experience acceptable).Working knowledge of treasury management systems such as Kyriba and exposure to banking platforms (U.S. and Canadian banks preferred).Proficiency in Microsoft Excel (pivot tables, lookups, reporting) and familiarity with Microsoft Office tools.Understanding of payment processing, bank reconciliations, and audit / compliance procedures.Strong analytical and problem-solving skills with keen attention to detail.Effective communication and interpersonal skills to collaborate with internal teams and external banking partners.Ability to prioritize tasks, meet deadlines, and work efficiently in a fast-paced, dynamic environment.Prepare and provide monthly and ad hoc audit reports related to banking and payment activities.