
Accountant , Treasury
- Bangalore, Karnataka
- Permanent
- Full-time
- Assist with preparation of cash flow forecast via tracking of entity cash activity, developing cash forecasting and tracking forecast variances.
- Operate bank reporting systems, manage account balances and control bank fees.
- Strong Excel skills are essential for creating, tracking, and reporting on treasury activities.
- Provide support to accounts payable team and complete release of disbursements.
- Ensure compliance with Treasury policies and procedures.
- Address internal customers’ queries.
- Knowledge of investment activities.
- Approx 3-5 years of experience in treasury/accounting required.
- Fluency in English required, additional European languages is preferred (beneficial languages include, but not limited to, French, Spanish, German).
- Strong communication skills are essential.
- Ability to operate on own initiative.
- Solid proficiency in Excel required.