Role reports to: Sr Manger International Accounting
Location: Pune
Employment type: Full time
Direct reports of the role: n/a
Purpose
You would be part of our finance team and report to the Sr Manager –
International Accounting and closely work with EMEA Tax & Treasury Manager who
is located in the International Headquarters located in Utrecht, the
Netherlands. You will be a dedicated resource supporting day-to-day treasury
activities, ranging from cash reporting, cash forecasting, as well as more
administrative tasks. This job gives the candidate a unique opportunity to
build the policy and governance around Treasury for the EMEA region from
scratch, since Medline EMEA is building up the treasury function, with a strong
cooperation and support from the US HQ Treasury team.
Activities & Responsibilities
Cash & Liquidity Management
* Monitor daily cash positions for multiple EMEA entities and prepare
consolidated liquidity reports.
* Assist transition from the excel-based forecasting to an automated,
software-based forecasting.
* Manage cash forecasting processes, ensuring timely and accurate submission
of short‑term and long‑term forecasts.
* Be the “first preparer” of the forecast with the weekly review process,
including adjusting the forecast.
* Plan and prepare funding and repatriation movements based on group
liquidity needs.2. Payment & Banking Operations
* Administer bank portals, user access, and transaction entitlements in
coordination with global Treasury.
* Ensure bank account documentation is maintained (KYC, signatory updates,
mandated documentation).
* Assist with bank account opening and closure process.
* Support compliance with internal controls, audit requests, and SOX
documentation.3. FX & Risk Management
* Assist with FX deal execution, trade confirmations, and settlement
processes.
* Prepare reports and analysis on currency movements.4. Working Capital
management
* Manage the working capital d
📌 EMEA - Treasury Sr Accountant (Pune)
🏢 Finance
📍 Pune
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