Finance Executive_Treasury Operations (Bengaluru)

Finance Executive_Treasury Operations (Bengaluru)

11 Aug
|
Cleartax
|
Bengaluru

11 Aug

Cleartax

Bengaluru

About the Role:

We are looking for a proactive Finance Executive to support day-to-day treasury operations, including cash management, banking coordination, and fund flow monitoring. The ideal candidate will help ensure smooth liquidity management and accurate treasury reporting.

Key Responsibilities

- Monitor daily bank balances and cash positions across all company accounts
- Prepare daily/weekly cash flow statements and fund flow forecasts
- Process fund transfers, RTGS/NEFT/wire payments, and vendor/intercompany payments as per approval matrix
- Coordinate with banks for account operations, documentation, and issue resolution
- Assist in managing working capital facilities (cash credit, overdraft, short-term loans)
- Track and reconcile bank statements against internal records (bank reconciliation statements)
- Support in fixed deposit/investment placements and renewals, and track maturity schedules
- Monitor and report on foreign exchange exposure and assist with basic hedging documentation (if applicable)
- Ensure timely compliance with banking covenants, RBI/regulatory guidelines, and internal treasury policies
- Maintain accurate records of loan agreements, guarantees, and credit facilities




- Prepare treasury MIS reports, interest cost analysis, and liquidity reports for management review
- Support internal and statutory audits with treasury-related data and documentation
- Liaise with internal finance/accounts teams to ensure smooth settlement of payments and receipts

Required Skills & Qualifications:

- Bachelor's degree in Commerce, Finance, Economics, or related field (T2/T3 MBA/CA Inter/CFA Level 1 is a plus)
- 03 years of experience in treasury, banking operations, or finance operations (freshers with robust fundamentals may apply)
- Basic understanding of banking instruments, cash management, and treasury concepts
- Proficiency in MS Excel; familiarity with treasury/ERP systems (SAP, Oracle) is an advantage
- Strong analytical and numerical skills with close attention to detail
- Good communication and coordination skills to liaise with banks and internal stakeholders
- Ability to work with confidential financial data and meet tight deadlines
- Sound understanding of RBI regulations and banking compliance is a plus

📌 Finance Executive_Treasury Operations (Bengaluru)
🏢 Cleartax
📍 Bengaluru

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