
Treasury Administrator
- Bangalore, Karnataka
- Permanent
- Full-time
- Execute wire payments, cash transfers, ACH authorizations and other banking transactions accurately
- Assist with monthly reporting and reconciliation of cash balances and activity to support cash flow forecast
- Monitor bank accounts and cash balances to ensure adequate liquidity for operational needs
- Coordinate with local bank representatives for account maintenance and compliance requirements
- Collaborate with cross-functional teams (i.e. A/P, Payroll, Accounting) to support treasury activities
- Support cash management strategic initiatives, including consolidation and system implementations
- Manage regular communication (via Outlook & Teams) to support internal teams in the US & UK
- Detail-oriented with excellent organizational skills and Excel skills
- Strong analytical and problem-solving skills to effectively address ad-hoc requests with innovative solutions
- Excellent interpersonal skills and communication skills, both verbal and written, with a service-oriented attitude
- Strong work ethic and the ability to work independently and manage multiple tasks
- Experience in a large corporate environment
- Professional certifications, such as Certified Treasury Professional
- Experience with treasury management systems or corporate banking portals
- 2+ years of experience in treasury operations, cash management, accounting or corporate finance
- Graduate with B.com preferred