We have an excellent job opportunity with one of the leading Fortune 10 companies. Please find below the details:
Designation: AVP- Cash Management
Experience: 4-10 years (Post Qualification)
Qualification: CA/ MBA ( full-time)
CTC on offer: Upto 25 Lacs per annum (fixed)
Location: Gurgaon
Essential Responsibilities
- Support the Director in implementing strategic global cash management initiatives.
- Support global team of cash management professionals in mission to build and maintain a world-class cash management operation to support the businesses. Coordinate with Director and Senior Analyst to ensure proper training, guidance and effectiveness, while leveraging expertise across team.
- Provide overall support across the team for effective business cash management (products, processes, policy compliance and best practices of network bank usage).
- Partner with cross-functional teams, including Treasury Operations, Bank Management COE, Legal, Funding, Investor Relations, Tax, Finance, Regulatory, Risk/GAP management and businesses to drive successful initiatives.
- Support with providing ongoing monthly and quarterly metrics to the business and progress metrics for Senior Leadership presentations.
- Support cash management team activities, including:
- Documentation collection and completeness as appropriate for bank account openings
- DOA and CPA documentation on Library
- Strategically evaluate costs for transactional services
- Maintain cash maps
- Report on non-cash pooling accounts
- Report on accounts and balances not setup on WebCash to help mitigate idle cash.
- Support Treasury/business initiatives around BAAS/BAVA
- Tracking for exception WF’s and coordinate with the business to get the needed justification for Corp Treasury approval
- Other as needed.
- Provide transaction support to company's businesses and support the integration into company's network banks and operating systems:
- Closing and integration
- Coordination with requisite Treasury/Tax/Business Development leads
- Preferred bank migration
- Support during the acquisitions and Divestitures as relates to bank accounts
- Deal tracking and TSA coordination.
- Coordinate & support Treasury Operational (cash management) reviews jointly with Director and Senior Analyst, to drive “best practices” adoption. Maintain tracker of action items for Director reviews and updates to senior management.
- Provide analyst support for project plans as needed. Coordinate & partner with resources within businesses and Corporate Treasury to ensure completion and success of projects.
- Support Americas, Asia, Corporate Treasury teams as necessary
Qualifications/Requirements
- The candidate would need to have at least 4 years of experience in a banking / financial operations environment, preferably in the area of Trade sales, Relationship support or Cash Management (product management or, sales).
- Ability to multitask and work with multiple stakeholders
- Excellent written and verbal Communication skills are a must
- Candidate must have a post graduate qualification (CA/MBA or equivalent.)
- Knowledge of overseas banking systems is desirable but not compulsory
Interested and relevant candidates kindly send resumes at: hrsynergy.placements@gmail.com
Nancy
Sr. Recruitment Consultant
HR Synergy
011-45618275
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