Representative I, BPS Securities & Collateral Operations (Hyderabad)

Representative I, BPS Securities & Collateral Operations (Hyderabad)

02 Oct
|
FIS
|
Hyderabad

02 Oct

FIS

Hyderabad

As the world works and lives faster, FIS is leading the way. Our fintech solutions touch nearly every market, company and person on the planet. Our teams are inclusive and diverse. Our colleagues work together and celebrate together. If you want to advance the world of fintech, wed like to ask you: Are you FIS

Job Summary

Monitor and analyze company cash positions to cover cash commitments. Compile short-term and long-term cash forecasts and coordinate movement of any excess cash to and from investment accounts

Responsibilities

- Determines corporate cash requirements and maintains appropriate cash flow.
- Manages lockbox deposits and disbursements and wire transfers/ACH (Automatic Clearing House) operations.
- Prepares cash flow forecasts, analyzes investment portfolio performance and other financial reports for management.
- Analyses results and investigates variances and trends.
- Identifies foreign exchange and interest rate exposures and recommends hedging transactions to treasury management.
- Researches and recommends investment options available for short-term cash positions to treasury management.
- Works with accounting staff related to research of variances.
- Other related duties assigned as needed.

Qualifications

- Bachelors degree in accounting or finance or the equivalent combination of education, training, or work experience.
- Knowledge of cash management activities and financial analysis along with the ability to understand and apply concepts
- Knowledge of general accounting principles, financial statements, practices and procedures as well as banking functions
- Skill in analytical and statistical examination for complex problem solving




- Ability to create complex spreadsheets and demonstrate proficiency in the use of Microsoft Office, accounting, reporting and other related software
- Ability to prepare financial reports
- Ability to meet deadlines, work independently, plan and work in an organized manner and rely on sound judgment to plan and accomplish goals
- Attention to detail, accuracy and confidentiality
- Ability to handle daily responsibilities and special projects simultaneously
- Communicates ideas both verbally and in written form in a clear, concise and professional manner

Job level description

FIS JOB LEVEL DESCRIPTION Advanced qualified role requiring high skill with extensive proficiency. Works independently with only administrative supervision and the ability to overcome major obstacles and recognize early when issues should be escalated or a senior peer needs to be consulted. Wide latitude for independent judgment and is expected to provide guidance and cross-training to others. Advises management regarding uses of cash and choices of investments. Develops and implements cost-efficient cash management systems and monitors changes in business model affecting systems. Identifies foreign exchange exposures and implements hedging transactions. Serves as a key liaison with accounting staff, related to research of variances and manages compliance under lease contracts. Effectively communicates with all levels of technical and non-technical personnel. Consults with senior peers on moderate to complex processes to learn through experience. Typically requires five to seven years treasury experience at a public company or equivalent experience in a related discipline.

📌 Representative I, BPS Securities & Collateral Operations (Hyderabad)
🏢 FIS
📍 Hyderabad

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