Treasury Specialist
Apexon
Job Description
Responsibilities / Duties:
Support group-wide liquidity planning, cash flow forecasting, and daily cash positioning.Manage day-to-day interactions with banks and financial institutions.Support onboarding of new banks, accounts, facilities, mandates, and signatories.Coordinate with banks on operational issues related to payments, collections, guarantees, and facilities.Oversee daily treasury operations including payments, fund transfers, and monitoring of bank balances.Support automation and process efficiency initiatives in treasury operations.Track and ensure compliance with financial and non-financial debt covenants across group entities.Coordinate with finance, audit, and legal teams for covenant-related confirmations and disclosures.Manage treasury-related accounting entries including interest, fees, FX impacts, and hedge accountingCoordinate with internal and external auditors on treasury-related queries.Assist in month-end and year-end close activities related to treasury.
Work Experience Requirements: Proven experience (2-3 years) in Treasury Function Proficiency in financial analysis with advanced Excel skills. Experience with ERP systems and financial software (e.g., SAP, Oracle, Hyperion). Excellent communication skills Attention to detail and commitment to accuracy.
Ability to thrive in a fast-paced, dynamic environment and manage competing priorities effectively.
Education requirement:Bachelor's degree in accounting/finance or Related Field, Inter CA, Inter-CMA.
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