Job Summary
We are seeking a motivated Treasury Operations & Integrated Finance Staff Specialist to support global clients in executing and maintaining day-to-day treasury and finance operations. This role provides an excellent chance to build foundational expertise in cash management, payment processing, liquidity monitoring, and financial reporting, while working in a dynamic and technology-driven environment.
As part of the team, you will support key treasury processes and assist in ensuring accurate, timely, and compliant execution of financial transactions, while gaining exposure to treasury management systems, ERP platforms, and automation tools. You will collaborate with treasury, finance, and accounting teams to deliver efficient and high-quality operational support.
This role offers a strong learning pathway to develop expertise in treasury operations, system integration, and financial controls, contributing to overall operational excellence and continuous improvement initiatives.
You will be responsible for executing tasks with increasing autonomy, applying sound judgment within defined parameters, and contributing to team outcomes. You are expected to demonstrate initiative, resolve routine issues independently, and support junior colleagues.
You will anticipate and identify risks within engagements and share any issues with senior members of the team.
In line with EY commitment to quality, you ll confirm that work is of high quality and is reviewed by the next-level reviewer.
Your Key Responsibilities
Treasury Operations Execution
- Support daily treasury activities, including cash flow tracking, bank account monitoring, and transaction processing
- Assist in execution of payments, intercompany funding, and settlements
- Ensure timely and accurate processing of treasury transactions and operational activities
- Adhere to established policies, procedures, and internal control frameworks
Cash & Liquidity Support
- Assist in cash positioning and monitoring of bank balances across entities
- Support preparation and maintenance of cash forecasts and liquidity reports
- Help track and analyse cash movements and working capital data
Systems & Data Management
- Work with treasury management systems (e.g., Quantum, Kyriba, Trax) and ERP platforms (e.g., SAP)
- Support data uploads, validation, and reconciliation across systems
- Assist in monitoring interfaces between treasury systems, banks, and ERP platforms
- Help identify opportunities for process improvement and automation
Reconciliation & Reporting
- Perform bank and cash reconciliations, ensuring accuracy of transactions
- Assist in preparing treasury reports, dashboards, and supporting documentation
- Support variance analysis and investigation of discrepancies
- Contribute to month-end close activities and reporting requirements
Risk & Compliance Support
- Ensure adherence to internal controls, policies, and regulatory requirements
- Support audit processes and documentation requirements
- Assist in identifying and escalating operational risks and issues
Client Interaction & Team Collaboration
- Support client deliverables and respond to operational queries
- Collaborate with treasury, finance, accounting, and IT teams
- Participate in UAT, system testing, and process improvement initiatives
- Maintain process documentation and knowledge-sharing materials
Disclaimer: This job description has been sourced from a public domain and may have been modified by Naukri.com to improve clarity for our users. We encourage job seekers to verify all details directly with the employer via their official channels before applying.
📌 FASS - Staff (Noida)
🏢 EY
📍 Noida