
Adviser - Global Treasury Services
- Gurgaon, Haryana
- Permanent
- Full-time
- Demonstrate extensive knowledge and deliver on treasury activities like daily Treasury bank reconciliation in Treasury Management System and Daily cash positioning, cash forecasting, funding and repatriation, liquidity management, cash pooling, payments and settlements and intercompany settlements via in house banking structure.
- Monitor organisations daily cash position to cover cash commitments, coordinate with Front office teams in the execution of the daily cash management duties, FX trades through FX all (for short / long positions) and assist on the short-term borrowing or investments,
- Experience on Back Office confirmations of MMF, Reverse Repo, FX, and other financial instruments
- Prepare periodic and monthly reports on the global cash position (Actual vs Controllers Forecast) and update the wider Group Treasury teams
- Assist with the periodic hedging programs and coordinate with Banks, FX traders, Company Secretaries, and other teams as per the step plan and ensure confirmation and settlements of the Trade using different FX trading tools and TMS.
- Support FX front office Teams including loading of FX trades and rates in TMS, regular review and maintaining standard settlement instructions / Static data in TMS and updating FX mandates with counterparty banks
- Perform month end checks for the team and ensure accounting queries (Notional / Mirror checks) are resolved within agreed deadlines
- Executing Payment on behalf of for participating group companies in Treasury management system through a single Treasury header account and recharging / booking on originating entity’s IC account.
- Knowledge of POBO/ROBO and Netting and performing the same for the group companies to eliminate the cross-border transaction volumes, eliminates the FX cost and optimize bank accounts using the IHB structure wherever possible.
- Ensuring funding, Wires payments cash calls being validated before being approved with respect to authorized source documents in the process initiating the payment/transfer.
- Should have good understanding of banking related projects to establish new host to host connections, MT940 setups, APIs, virtual accounts, onboarding new banks, opening, and closing of accounts etc.
- E-Banking Portal administration for various Global Cash management banks
- Assisting the team with documentation related to various bank facilities (Letter of Credit / Bank Guarantees /SLA agreements/bank mandates/other queries from bank).
- Strong Bank guarantee management of the assigned region(s), including processing issuance/reception/cancellation and monitoring of KPIs and maintenance of Bank Guarantee Database
- Will be responsible to maintain repository of Bank accounts, Bank Mandates and Bank signatory information which can be reproduced whenever required.
- Strong Knowledge in relation to adherence of banking compliances and procedures and controls like ACB, AML, KYC, cross border restrictions, sanctions, regulated markets etc. and have fair understanding of internal banking controls and Sox controls with experience of participating in internal and external audits
- Participate in global and projects and improvements initiatives running in the organization
- Managing or participating in the implementation of global improvements (including Knowledge management / Desk top Procedures standardization, Process Risk and Control Matrix, automation, & resolution of process inefficiencies).
- CTP / ACT/ MBA / CIMA / Management Graduates, or equivalent qualification from professional business schools / accounting / Treasury bodies
- Minimum 7 to 10 years of experience in a similar role
- Extensive knowledge of Treasury Management Systems, Quantum TMS or Similar. Core Treasury and Cash / FX management experience with General Accounting knowledge
- Excellent Stakeholder management and communication skills (Both written / Verbal)
- Expertise on working on a Treasury Management Tool (E.g., Quantum TTMS or similar).
- Strong Knowledge of MS Office including excel expertise /Teams /SharePoint / Power B.I.
- Sound knowledge of SAP/ ERP
- Strong presentation skills with MS PowerPoint proficiency
- Analytical and problem-solving mindset
- Project experience with and good / reporting / MIS skills
- Appropriate handling of sensitive information
- Partnership skills and Collaborative mindset
- Problem Solver – seeking relevant information to analyze issues and propose effective solutions
- Business Improvement mindset and skills
- Ability to adapt to change, and the ability to work autonomously and as part of a team
- Team player with the ability to communicate and coordinate with multiple parties
- Time Management and ability to multi-task in a fast-paced environment
- Effective at planning and priority setting
- Must be well-organized and detail-oriented
- Good critical thinking and analytical skills
- Accuracy – Attention to detail
- Thinking Agility
- Customer Service Focused (internal and external customers)