Company Overview:
Hartree Partners (Hartree) is a global energy and commodities firm with an international reputation for integrity. Hartree uses decades of experience in the physical and financial energy and commodities markets to assist customers in accessing these markets and navigating their complexities, helping them maximise revenues while minimising risk. The company provides a wide range of services to a substantial and diversified customer base, including corporations, financial institutions, governments and individuals.
Integrity is the foundation of Hartree’s collaborative culture. Founded in 1997, Hartree is privately held by its management, Oaktree Capital and other institutional investors. Our diverse and experienced team comprises close to 5,400 employees across more than 50 global offices and 20 business lines, working to deliver deep insight and expertise to enterprise-level, multinational and nation-state clients.
In 2025, Hartree Partners acquired ED&F; Man Commodities. Established in 1783, ED&F; Man Commodities is an agricultural merchant with approximately 2,800 employees across 43 countries. ED&F; Man Commodities trades sugar, coffee, molasses, animal feed and pulses.
Hartree Global Services (India) Private Limited (HGSI) reflects Hartree’s commitment to creating a centre of excellence in India by establishing its Global Capability Centre in Hyderabad to support the company’s strategic growth, with a particular focus on operational excellence and global execution. HGSI aims to become the nucleus for Hartree’s global enterprise functions, including technology and engineering, accounting and financial reporting, treasury, operations, risk management and compliance, among other areas.
Location: Hyderabad
Position Type: Full-time, onsite – 5 days a week from the office; no hybrid work option
Direct Reporting: HGSI Local Leadership Team, Hyderabad
Functional Reporting: Treasury Manager
Shift Time: 6:00 PM to 3:00 AM IST, with flexibility to support other regions.
Job Summary:
The Treasury Department is seeking an experienced Treasury Analyst with strong technical and analytical skills to manage daily cash applications, reconciliations and treasury systems. The role will be responsible for ensuring the company’s transactions and reports are processed accurately and on time.
Key Responsibilities & Duties:
- Lead the daily reconciliation of accounts, ensuring all cash movements are accurately recorded, investigated and resolved in a timely manner.
- Ensure timely and accurate cash application.
- Prepare daily cash forecasts.
- Determine daily borrowing and paydown requirements and prepare loan notices.
- Monitor account balances and prepare funding requirements.
- Analyse and monitor bank fees, identifying opportunities for cost reduction and process improvement.
- Contribute to the development, documentation and maintenance of Treasury policies, procedures and controls.
- Partner with internal and external auditors on Treasury-related requests and support the broader Finance and Treasury teams during year-end audits and reporting cycles.
- Assist with management reporting, data analysis and ad hoc Treasury or Finance projects as required.
Requirements: Education, Competencies & Skills:
- Qualified or Semi-Qualified Chartered Accountant (CA) or Cost and Management Accountant (CMA), or a Bachelor’s degree in Business, Finance, Accounting or Financial Management.
- 3–5 years of hands-on Treasury Operations experience, with a focus on daily cash management and reconciliation processes.
- Strong analytical and reconciliation skills, with excellent attention to detail.
- Advanced Excel proficiency is required. Experience with AI tools, Power BI or Alteryx would be an advantage.
- Prior experience with Kyriba or other Treasury Management Systems is preferred.
- Technically adept, with working knowledge of Treasury, financial and reporting systems
Additional Attributes:
- Highly organised and process-oriented, with the ability to manage multiple priorities in a fast-paced workplace.
- Self-motivated and proactive, with a continuous improvement mindset.
- Collaborative and team-oriented, with the ability to build productive relationships across all levels of the organisation.
Hartree Partners is an equal opportunities employer. We are committed to ensuring that all applicants and employees are treated fairly and are not discriminated against on the grounds of age, disability, gender reassignment, gender identity, marriage and civil partnership, pregnancy and maternity, race (including colour, nationality and ethnic or national origins), religion or belief, sex or sexual orientation.
Recruitment and employment decisions are based on merit and business needs. We will make reasonable adjustments for candidates and employees with disabilities.
Find out more about us by visiting our website: Hartree Partners
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📌 Treasury Analyst – Cash Management (Hyderabad)
🏢 Hartree Partners
📍 Hyderabad