





Tier-1 employer, mid-level finance role, and Bangalore location increase competitive candidate density.
Specialized banking, cash management and compliance skills make background fit highly industry-specific.
Explicit 4-5 years finance requirement and treasury-specific responsibilities create moderately strict shortlisting.
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Perform Global Treasury Shared Service activities such as banking operations, cash management, and Treasury reporting within the Global Capability Center in Bangalore.
Maintain regulatory compliance, internal controls, and accurate financial reporting through collaboration with Regional and Corporate Treasury, legal, tax, and accounting teams.
Prepare daily cash positioning, manage bank accounts and documentation including KYC, update signatories, handle banking portal administration, and support Treasury initiatives for continuous process improvements.
Bachelor’s degree in Finance, Accounting, or Economics.
Minimum 4-5 years of finance experience.
Proficiency with Microsoft Excel, Word, Adobe; Fluent in English.
Work Experience Required: Minimum 4-5 years in finance, treasury or related fields explicitly mentioned.
Experienced in high-volume and complex financial environments, preferably with 2+ years in treasury operations or global financial operations.
Capable of handling multiple tasks simultaneously with strong organizational skills and resourcefulness.
Comfortable working in a shared services environment involving frequent cross-functional and external banking partner communications.