
Treasury Analyst
1 week ago
To perform designated responsibilities on a day-to-day basis as laid down in this document and supporting operations besides assisting in other initiatives.
Knowledge Skills and Abilities, Key Responsibilities:
- Daily cash flow updating, review & analyse variances and provide comments on the same.
- Consolidate, review & manage all inter-company flows
- Initiate and ensure timely settlement of foreign exchange transactions.
- Co-ordination with affiliate treasurers to ensure WC optimization
- Tracking of external receivables and follow-up for timely realisation
- Management of external facility drawdowns & repayments
- Preparation of 9-week cash flow forecast & compile comments on variances
- Consolidate local/regional cash flow forecast for Group Treasury
- Managing banking relationships for KYC, account opening/closing, exceptional transactions etc.
- Monitoring bank charges & highlighting scope for reduction
- Support Group Treasury on various initiatives & analysis
- Participate in new TMS implementation.
Experience
- Degree Educated or equivalent
- Experience preferably in Cash Forecasting & International payment settlements
- Working on a Treasury Management System would be an added advantage esp. Kyriba
- Ability to handle multiple stakeholder engagement
Skills
- Possess strong numerical and analytical skills
- Good verbal and written communication skills with the ability to articulate complex information
- Proficient in Microsoft Office especially Excel & PowerPoint
Key Relationships and Department Overview:
- Treasury (Region & Operations)
- Local & Regional Finance
- Supply & Trade Finance
- Accounting & Controlling
- Tax
- Business Support
- Legal
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