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Specialist Cash Management & Treasury

地点:印度、哈里亚纳邦、古尔冈

酒店地址:印度哈里亚纳邦古尔冈市DLF二期DLF网络城C座10号楼11层,邮编:122002

Job number: 164236

2482x804-collections
2482x804-collections

SA Cash Management

1 - Corp India GSC Delivery Centre

Job Description

Role Purpose

The Specialist– Cash Management is responsible for end‑to‑end execution and governance of daily cash operations, including cash positioning, payments, bank reconciliations, and balance sheet accounting, while ensuring adherence to SOX controls, segregation of duties, and internal treasury policies. The role acts as a key operational interface between Cash Management, Group Treasury, AP, R2C, and banking partners.

Key Accountabilities

  • Perform daily and weekly cash positioning and liquidity forecasting to ensure adequate funding across legal entities and regions

  • Monitor bank balances, overdrafts, and funding requirements; escalate exceptions proactively.

  • Initiate and process wire transfers, ACH payments, intercompany funding, and settlements in line with approved funding requests and authorizations

  • Ensure proper segregation between payment initiation and approval across Kyriba and bank portals.

  • Operate treasury systems such as Kyriba and bank portals for payments, cash flows, and reporting.

  • Act as a liaison between Cash Management, Group Treasury, Accounts Payable, R2C, and banking partners

 

Key Skills & Competencies

  • Strong understanding of cash management, bank reconciliations, and treasury operations

  • Hands‑on experience with Kyriba, bank portals, and ERP systems

  • Sound knowledge of SOX controls, audit requirements, and segregation of duties

  • Ability to manage high‑volume transactions with accuracy and timeliness

  • Effective communication and stakeholder management skills

 

Education –B Commerce Graduate or Postgraduate

Experience –24 to 72 months of work experience preferred in the relevant domain

 

 

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