WERE HIRING – TREASURY / CASH MANAGEMENT OPERATIONS
Location: Hyderabad
Work Mode: Work from Office
Shift: Adaptable to any shift | 5:30 PM – 3:30 AM
Working Days: 5 Days
Salary: Up to 14 LPA
Notice Period: Up to 60 Days
ROLE: TREASURY / CASH MANAGEMENT OPERATIONS
Key Responsibilities:
- Handle day-to-day Cash Management & Treasury Operations.
- Process and manage high-volume payments with accuracy.
- Coordinate with onshore partners and manage operational queries.
- Handle client communication and relationship management.
- Ensure timely resolution of team, client, and onshore queries.
- Maintain strong attention to detail while processing financial transactions.
- Demonstrate a proactive approach toward process management and issue resolution.
- Develop good understanding of FX Trades and FX processes.
- Ensure adherence to process guidelines, controls,
and SLAs.
- Support process improvement and operational efficiency.
REQUIRED SKILLS:
Cash Management / Treasury Operations
FX Trades / Foreign Exchange
Payment Processing
Client Handling
Onshore Stakeholder Management
Strong MS Excel Knowledge
Excellent Communication Skills
Problem-Solving & Analytical Skills
High Attention to Detail
GOOD TO HAVE:
- Private Equity domain knowledge.
- Experience in Banking / Financial Services / Investment Banking.
- Exposure to global clients and international operations.
Interested candidates can share their updated CV
HR Madhuri Reddy R
(phone hidden)
[email protected]
📌 Treasury Analyst (Hyderabad)
🏢 Career Guideline
📍 Hyderabad