
Lead - Treasury
- Bangalore, Karnataka
- Permanent
- Full-time
- Cash reporting of actuals - uploads for UK, EMEA, US, Canada and Latin America using swift enabled accounts where integrated, chasing non swift operating units to report, answering queries, checks on consolidated data, managing the related Treasury mailbox and producing monthly cash report for the Group Treasurer.
- Collaborate with finance and accounting teams to streamline workflows.
- Electronic Banking administration for Global treasury and then other markets including managing user access reviews, enablement of new account reporting or withdrawal of account closure and any other changes required Bank Mandate maintenance and support
- IT2 administration of static data - Ensure completeness and timely set up of all static data including but not limited to: SSI's, distribution lists for TMS generated reports, checking bank statements, Interco loan positions and general ledger postings
- Promote the use of IT2 Cash management - supporting UK/EMEA/US markets in IT2 automation, support collating and reviewing operating unit cash forecasts for UK, developing into other markets over time
- Identify opportunities for automation and process optimization in treasury functions.
- Develop Cash / FX / MtM reporting upon completion of integration to all trading channels to support periodic share of wallet analysis
- Payment processing for Treasury high value low volume payments for UK/US and growing into other regions.
- Support in projects of the TMS to introduce new functionality as appropriate and improve existing reporting as necessary
- Bachelor's or master's degree in finance, Accounting, Economics, or related field; B Com or MBA preferred (or equivalent qualification preferred)
- 5-6 years of relevant experience in corporate treasury, banking, or financial risk management.
- Strong knowledge of financial markets, banking instruments, treasury technologies and regulatory requirements.
- Demonstrated experience in working with project team implementing and managing treasury systems a plus.
- Proficiency in financial modelling and analysis tools (Power BI, Alteryx) a plus.