Title: Treasury Operations Analyst
Location: Chennai
Exp: 8 years
Key Responsibilities
Perform treasury operations including cash flow monitoring, liquidity management, and financial reporting.
Analyze financial data and reconcile transactions to ensure accuracy.
Prepare treasury forecasts and support financial planning activities.
Monitor daily cash positions and optimize working capital.
Manage banking relationships and support treasury-related transactions.
Ensure compliance with financial policies, regulatory requirements, and internal controls.
Identify operational risks and recommend process improvements.
Develop reports and dashboards to support management decision-making.
Collaborate with cross-functional teams to improve treasury processes and operational efficiency.
Resolve moderately complex treasury-related issues using analytical and problem-solving skills.
Soft Skills
Strong analytical and problem-solving skills
Excellent communication and interpersonal skills
Adaptable and adaptable in a dynamic work workplace
Ability to collaborate effectively with cross-functional teams
Good stakeholder management skills
Preferred Qualifications
Bachelors degree in Finance, Accounting, Commerce, or a related discipline.
MBA (Finance), CA, CMA, or equivalent qualification is an added advantage.
Experience working in a shared services or global finance operations workplace is preferred.
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📌 Treasury Operations Analyst Chennai (India)
🏢 NR Consulting
📍 India
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