Start Date
Immediate
Expiry Date
04 Dec, 25
Salary
70.0
Posted On
04 Sep, 25
Experience
7 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Good communication skills
Industry
Financial Services
THE OPPORTUNITY
Our client is seeking an experienced Treasury Analyst to join our Treasury Operations team. In this role, you will take ownership of core global cash management processes, ensuring accurate liquidity execution, safeguarding cash controls, and contributing to operational improvements across the Treasury function. You ll work closely with internal teams and external banking partners to support global cash infrastructure, intercompany funding, and treasury compliance.
How To Apply:
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Execute trade settlements and confirmation execution and process, promptly resolving discrepancies and issues.
Assist with all aspects of bank account management worldwide, including account openings, closures, signatory updates, and compliance with KYC requests.
Implement and maintain banking system access and processes, ensuring real-time reporting and secure management of treasury users and activities.
Support M&A integration efforts, ensuring Treasury Services processes are seamlessly incorporated.
Reconcile daily and month-end cash activity; prepare accounting entries and support Treasury s month-end close
Support audits, internal control testing, and regulatory reporting for Treasury Operations
Assist with banking relationship operations, ensuring service levels, issue resolution, and proactive communication with global bank partners
Partner across Treasury, Accounting, AP, and Legal to improve end-to-end cash processes and ensure policy compliance