Corporate Treasury Analyst

4 - 8 years

0 Lacs

Posted:1 week ago| Platform: Shine logo

Apply

Work Mode

On-site

Job Type

Full Time

Job Description

You are being hired as a Corporate Treasury & FP&A Analyst for a contract-based hybrid role in Hyderabad. Your role will involve overseeing treasury operations, managing cash flow, budgeting, and financial reporting. It is essential that you are able to start within 0 to 15 days. Your responsibilities will include monitoring daily cash positions, preparing accurate cash forecasts, reconciling cash records with bank statements, and identifying financial risks. You will also be expected to support annual budgeting and forecasting cycles, conduct variance analysis, develop financial reports, and analyze financial data to aid decision-making. To excel in this role, you should possess strong knowledge of corporate treasury functions and FP&A processes, advanced Excel skills including pivot tables and financial modeling, familiarity with ERP/financial systems such as SAP or Oracle, excellent communication and coordination abilities, and the capacity to manage high-volume transactions effectively in a hybrid work environment. This is a contractual/temporary position for a duration of 12 months, with benefits including Provident Fund. The work schedule will be in the UK shift, and you will be required to work in person at the Hyderabad location.,

Mock Interview

Practice Video Interview with JobPe AI

Start Job-Specific Interview
cta

Start Your Job Search Today

Browse through a variety of job opportunities tailored to your skills and preferences. Filter by location, experience, salary, and more to find your perfect fit.

Job Application AI Bot

Job Application AI Bot

Apply to 20+ Portals in one click

Download Now

Download the Mobile App

Instantly access job listings, apply easily, and track applications.

coding practice

Enhance Your Skills

Practice coding challenges to boost your skills

Start Practicing Now

RecommendedJobs for You