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Department: Treasury
Reporting To: Manager - Treasury
Job Location: Mumbai
Education Qualification Required: B Com/M Com
Number of Years of Experience Required: 2-4Yrs
Summary:
The Treasury Analyst is responsible for the day-to-day management of treasury operations, ensuring efficient cash flow, accurate financial reporting, and compliance with internal controls and regulations.
Key Responsibilities:
Daily:
- Cash Management:
- Prepare and share daily cash position reports with OpCo and regional teams.
- Report cluster and cash balances to GL and Treasury Manager.
- Manage fund flow and cash flow, including loan disbursements, payments, rollovers, and follow-ups.
- Share bank debits with the Payments team and credits with the Collection team.
- Share bank statements (collections) with relevant teams.
- Accounting and Reporting:
- Account for and approve treasury-related entries and share with the GL team for posting.
- Prepare Bank Reconciliation Statements (BRSs).
- Follow up with Collection and Payment teams to resolve open items in BRS.
- Arrange entries for Conversion of EEFC balances to INR as needed.
- Transaction Processing:
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📌 Analyst - Treasury (Temp) (Mumbai)
🏢 WPP
📍 Mumbai