Posted:-1 days ago|
Platform:
Work from Office
Full Time
Job Description – SME – Treasury:
Requirements
Process specific responsibilities
The main task is to perform & monitor the end to end General Ledger task throughout the month (including Book Closure/ Month Close) by meeting the service level standards agreed as per SOW.
Position Overview:
The Treasury Analyst is responsible for managing the company’s cash, liquidity, investments, and financial risk. This role plays a key part in ensuring the company maintains adequate liquidity to meet its operational and financial obligations while optimizing the company’s cash flow and minimizing financial risk. The Treasury professional will work closely with senior management, finance teams, and external financial institutions to make strategic decisions related to capital management, cash forecasting, and financial transactions.
Key Responsibilities:
Golden Opportunities
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