
Manager - Treasury
- Bangalore, Karnataka
- Permanent
- Full-time
- Group Treasury Reporting support - Centralized Treasury oversight including Group Cash summary, Cash Liquidity (Short term & Long term), Counterparty Credit Risk, FX Risk, Net Debt and supply chain finance as well as a monthly Treasury dashboard for the Group Treasurer and CFO.
- Designing, Delivering and Presenting Group weekly cash liquidity view for 13-week & analysis on liquidity position & establish an efficient process to consolidate liquidity across different segments within group.
- Responsible for developing to monitor treasury activity across group and risk management against Group Treasury Policy.
- Support for ad hoc reporting and analytics as required by regional treasury teams supporting business needs, ensuring accurate and timely insights to aid decision-making.
- Cash management support for Global markets in IT2 and support collating and reviewing operating unit cash forecasts for Group.
- Supporting Treasury Transformation Project and IHB regarding core Treasury Payments - Derivative Confirmations Specialist to manage Treasury financial transactions, ensure accurate settlement, with end of day control reporting for verification of trade confirmations.
- Understanding of IT2 administration of static data - Setting up Repetatives, checking SSI's, checking bank statements, creating workbench and in the future FX and interest rates.
- Ideal candidate must have expertise in reconciliation, risk management, and compliance with financial regulations.
- General Computer Controls (GCC) to be done monthly for Group Treasury Supporting maintenance and development projects for treasury systems, and operational improvements in IT2 (ION Treasury management system).
- Support auditing data requests and communicate results to stakeholders and auditing entities.
- Experience in working in a faced paced agile environment within a Global Treasury department or shared services of an international business.
- Strong understanding of cash flow modeling, FX markets, derivatives, and capital markets.
- Treasury knowledge covering bank accounts, cash pooling, inter-company loans, derivatives such as FX forwards, swaps, NDFs and interest rate or cross currency swaps (is a must)
- Global Cash management of a complex series of pooled and non-pooled bank accounts across a range of different currencies including international payments processing.
- Strong analytical, problem-solving skills and communication skills, including excellent written and verbal capabilities. (PowerPoint and presentation skills considered as a plus.)
- Experience with treasury management systems (TMS) IT2 or ION products a plus.
- Advanced level of technical proficiency and computer literacy (Word, Excel, PowerPoint, Microsoft Management)
- Experience in leading and working in teams, able to build strong relationships quickly
- High level of service mind-set with ability to communicate / influence senior leadership
- Highly results-focused, with ownership to drive results and strive for excellence
- Strong ability to turn opportunities into actions, strategies
- Fluency in English (reading, speaking, and writing).
- Bachelor's or master's degree in finance, Accounting, Economics, or related field; CTP, CA, CFA, or MBA preferred (or equivalent qualification preferred)
- 7-15 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 implementing and managing treasury systems a plus.
- Proficiency in financial modelling and analysis tools (Power BI, Alteryx) a plus.
- Demonstrable experience of managing a reasonable sized Treasury team including mentoring, training and developing team members as well as overseeing documentation, and training materials.