Specialist-GRE Treasury
Invesco View all jobs
- Hyderabad, Telangana
- Permanent
- Full-time
Treasury Administration and Compliance:
- Handle bank account management, coordinate bank account opening and closing requests with internal teams, service providers and the banks.
- Manage bank access and handle user maintenance, grant or remove access to bank platform upon requests received from internal or external teams and approval matrix assignment. Assist users when experiencing issues with their bank access and provide resolution.
- Manage KYC/AML related requests received from the bank, coordinate with internal and external teams including review of documentation, sharing of relevant company information and Board member, preparation of FATCA and CRS forms.
- Review periodically bank authorized signatories and coordinate change of signatories when required with banks, internal teams and service providers.
- Maintain accurate and up-to-date central information on bank accounts, bank users and bank authorized signatories.
- Assist with incorporation process when setting up a new entity and liaise with the relevant internal teams, service providers and banks.
- Support Audit request related to Treasury, provide required information and documentation, answer queries, share updated list of bank authorized signatories.
- Execute any Treasury related requests received from internal or external stakeholders, within the agreed SLA.
- Process any internal and external payment requests and cash transactions (accounts payable, internal transfers, funding, inter-company payments, bank loan and interest, FX / hedge / swap, acquisition, disposal, capital call, redemption, distribution)
- Perform reconciliation on executed transactions.
- Monitor short term cash position and bank balances to ensure minimum coverage is maintained, prevent account overdrafts through timely interventions and forecasting, escalate any discrepancies or shortfalls immediately to relevant teams and make recommendations accordingly.
- Initiate short-term cash deposits and money market funds investment upon request.
- Participate in any treasury related projects, process improvements, automation initiatives and system implementation.
- Contribute to drafting and updating process documentation along with policies and procedures.
- Conduct ad hoc financial and treasury analyses to support informed decision-making and address business needs. Provide strategic treasury insights.
- Master’s degree in finance, accounting, business administration or a related field. Advanced degree (CA, CFA, CMA,FRM) is a plus.
- Minimum of 8 years’ experience in fund treasury operations, fund accounting, or related roles within the asset management industry.
- EMEA region experience would be added advantage.
- Proficiency in using banking platforms, payment systems, and treasury tools. Any TMS (Kyriba) experience is preferred.
- Experience with Service Now or similar workflow management systems.
- Excellent attention to detail, ability to respond to time sensitive matters accurately and manage workload.
- Strong problem-solving skills and ability to collaborate with cross-functional teams to resolve operational issues.
- Excellent communication and interpersonal skills to build relationships with internal teams and external stakeholders.
- Knowledge of KYC/AML, corporate laws and banking regulations in the EMEA region.
- Competitive Compensation
- Flexible, Hybrid Work
- 30 days’ Annual Leave + Public Holidays
- Life Insurance
- Retirement Planning
- Group Personal Accident Insurance
- Medical Insurance for Employee and Family
- Annual Health Check-up
- 26 weeks Maternity Leave
- Paternal Leave
- Adoption Leave
- Near site Childcare Facility
- Employee Assistance Program
- Study Support
- Employee Stock Purchase Plan
- ESG Commitments and Goals
- Business Resource Groups
- Career Development Programs
- Mentoring Programs
- Invesco Cares
- Dress for your Day