FAAS Treasury Manager

6 - 10 years

0 Lacs

Posted:1 day ago| Platform: Shine logo

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Work Mode

On-site

Job Type

Full Time

Job Description

As a Finance, Accounting, and/or Audit specialist at EY GDS Assurance FAAS Treasury, your role involves supporting and advising Banking clients in accounting, audit, and regulatory topics. You will play a key role in implementing new accounting standards, transforming the Finance function, and optimizing reporting processes for clients in the Banking sector. Your responsibilities include overseeing cash flow forecasting, managing financial risks related to treasury operations, and implementing cash management operational strategies. Additionally, you will be involved in developing hedge strategies, managing engagement planning and execution, and contributing to relationship management with clients. Key Responsibilities: - Impart extensive knowledge and provide subject matter expertise in accounting and finance operations - Oversee Cash Flow Forecasting and financial risk management in treasury operations - Develop and implement cash management operational strategies - Implement hedge strategies and manage engagement planning and budgeting - Ensure products/deliverables meet specifications and deadlines - Develop creative solutions to help clients achieve their treasury and business objectives - Contribute to the development and management of client relationships - Participate in proposal development process for prospective treasury engagements - Identify improvement opportunities to optimize processes and increase client value Qualifications Required: - Minimum 6 years of relevant experience in Audit and/or Consulting within the Banking sector - Expertise in latest IFRS developments - Knowledge in financial reporting, accounting methodology, and controlling department of financial institutions - Bachelor or Master's degree with relevant professional education (e.g., Chartered Accountant, CPA, ACCA) - Advanced skills in Treasury organizational structure, financial risk management, cash flow forecasting, liquidity management, and more - Proactive, flexible, and team-oriented with good communication skills in English - Proficiency in MS Office applications - Analytical mindset, critical thinking, and willingness to travel occasionally Join EY to work in a collaborative team environment, participate in various training programs, develop a broad business knowledge, and enjoy a competitive compensation package with a wide range of benefits. EY's purpose is to build a better working world by creating long-term value for clients, people, and society, and fostering trust in the capital markets through diverse teams across the globe. As a Finance, Accounting, and/or Audit specialist at EY GDS Assurance FAAS Treasury, your role involves supporting and advising Banking clients in accounting, audit, and regulatory topics. You will play a key role in implementing new accounting standards, transforming the Finance function, and optimizing reporting processes for clients in the Banking sector. Your responsibilities include overseeing cash flow forecasting, managing financial risks related to treasury operations, and implementing cash management operational strategies. Additionally, you will be involved in developing hedge strategies, managing engagement planning and execution, and contributing to relationship management with clients. Key Responsibilities: - Impart extensive knowledge and provide subject matter expertise in accounting and finance operations - Oversee Cash Flow Forecasting and financial risk management in treasury operations - Develop and implement cash management operational strategies - Implement hedge strategies and manage engagement planning and budgeting - Ensure products/deliverables meet specifications and deadlines - Develop creative solutions to help clients achieve their treasury and business objectives - Contribute to the development and management of client relationships - Participate in proposal development process for prospective treasury engagements - Identify improvement opportunities to optimize processes and increase client value Qualifications Required: - Minimum 6 years of relevant experience in Audit and/or Consulting within the Banking sector - Expertise in latest IFRS developments - Knowledge in financial reporting, accounting methodology, and controlling department of financial institutions - Bachelor or Master's degree with relevant professional education (e.g., Chartered Accountant, CPA, ACCA) - Advanced skills in Treasury organizational structure, financial risk management, cash flow forecasting, liquidity management, and more - Proactive, flexible, and team-oriented with good communication skills in English - Proficiency in MS Office applications - Analytical mindset, critical thinking, and willingness to travel occasionally Join EY to work in a collaborative team environment, participate in various training programs, develop a broad business knowledge, and enjoy a competitive compensation package with a wide range of benefits. EY's purpose is to build a better working world

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Professional Services

London

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