The incumbent will manage end-to-end Cash & Bank operations, ensure compliance with statutory and regulatory requirements, support treasury activities, and maintain effective stakeholder coordination. The role requires expertise in fund management, banking operations, regulatory compliance, accounting processes, and reconciliation activities.
Key Responsibilities
Cash & Bank Operations
- Manage and monitor cash and bank-related activities.
- Perform bank reconciliations and ensure accuracy of transactions.
- Execute payment processes while adhering to established controls.
- Support fund allocation and cash flow management activities.
- Ensure timely processing of domestic and cross-border payments.
Regulatory & Statutory Compliance
- Ensure compliance with FEMA regulations and RBI guidelines related to cross-border transactions.
- Manage statutory payments and ensure adherence to government compliance requirements.
- Coordinate with external auditors and support audit-related activities.
- Liaise with CA firms for:
- Form 144 filings
- Form 145 filings
- TDS Returns
- Ensure all statutory deadlines are met without exceptions.
Fund Management
- Prepare and provide advance fund forecasts for upcoming payments.
- Monitor cash positions and ensure balanced fund utilization.
- Coordinate with banking partners on treasury-related matters.
Accounting & Financial Reporting
- Manage General Ledger (GL) and Sub-Ledger accounting activities.
- Support monthly closing activities and ensure timely delivery of financial results.
- Maintain high levels of accuracy and First Pass Yield in accounting transactions.
- Perform reconciliations and standard financial processes related to Cash & Bank operations.
Stakeholder Management
- Collaborate with:
- Banks
- Auditors
- User Departments (TEF, MOE, etc.)
- Logistics Teams
- CA Firms
- Address payment-related queries and service requests within agreed timelines.
- Ensure seamless communication with internal and external stakeholders.
Logistics & Operational Coordination
- Coordinate with Physical Logistics and Logistics Planning teams.
- Support material inward-related financial transactions and queries.
- Facilitate audit documentation and compliance requirements.
Continuous Improvement & KPI Management
- Participate actively in achieving defined annual KPIs.
- Drive process adherence and operational excellence.
- Support standardization and optimization of Cash & Bank processes.
Mandatory Skills
Functional Skills
- Accounting and Financial Reporting
- General Ledger & Sub-Ledger Accounting
- Cash & Bank Operations
- Fund Management and Treasury Activities
- FEMA Compliance
- RBI Regulations
- Statutory Compliance & Payments
- Audit Coordination
- TDS Return Management
- Financial Reconciliation
Technical Skills
- Strong proficiency in SAP
- Advanced MS Excel knowledge
- Understanding of Banking and Treasury Processes
Competencies
- Strong analytical and problem-solving abilities
- Exceptional attention to detail
- Ability to manage multiple stakeholders effectively
- Strong communication and interpersonal skills
- Collaborative and team-oriented mindset
Preferred Skills
- Hands-on experience with Power BI and/or Tableau
- Experience in financial analytics and reporting dashboards
- Ability to work independently with minimal supervision
- Strong presentation and stakeholder management skills
- Continuous improvement mindset
Key Performance Indicators (KPIs)
Accounting Excellence
- Timely monthly financial closures
- High First Pass Yield
- Accurate GL and Sub-GL accounting
Compliance
- 100% adherence to statutory payment deadlines
- Compliance with FEMA and RBI regulations
- Zero compliance deviations
Fund Management
- Accurate fund forecasting
- Efficient cash utilization
- Timely payment execution
Service Delivery
- Timely closure of service requests
- Effective stakeholder satisfaction
- Resolution of payment-related queries within SLA
Operational Excellence
- Achievement of annual KPIs
- Process standardization and compliance
- Audit readiness and documentation accuracy
Preferred Candidate Profile
A finance professional with 10-15 years of experience in Cash & Bank Operations, Treasury, Fund Management, and Regulatory Compliance. The ideal candidate should possess strong SAP expertise, thorough knowledge of FEMA and RBI regulations, excellent stakeholder management skills, and the ability to drive accurate and compliant financial operations in a rapid-paced environmen
📌 Senior Business Accountant- Cash and Bank (Bengaluru)
🏢 Bosch Global Software Technologies
📍 Bengaluru
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