





Tier-1 brand, metro location, and mid-level generalist Treasury role drive high applicant competition.
Treasury-specific skills (cash management, FX, Kyriba) limit cross-industry transferability.
Explicit 5–7 years plus required Treasury and cash-management expertise raises shortlisting rigor.
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Independently perform and manage treasury operations including payments, data extraction, reconciliation, FX support, and month-end closing in a shared services environment.
Support and improve treasury business processes and tools with medium complexity financial analysis and reporting for global business units.
Work US/EMEA shift hours onsite in Bangalore, coordinating with global teams to drive operational outcomes and continuous improvements.
5-7 years of progressively responsible finance/treasury experience, preferably in cash management within shared services.
Bachelor's degree in finance, economics, business administration, or equivalent relevant experience.
Ability to work US or EMEA shift hours (primarily 6:00 PM-3:00 AM IST) and 5-day onsite work schedule in Bangalore.
Proficiency with Microsoft Office365 (Excel, PowerPoint), plus skills in Power BI, Power Automate, and AI tools for data analysis and automation.
Experienced in treasury center of excellence or shared services supporting cash, credit, and financial analysis functions with medium complexity.
Comfortable operating with minimal supervision, responsible for front-line decisions within defined treasury areas.
Skilled in collaborating across multiple global teams and stakeholders to improve treasury processes and reporting using data-driven approaches.