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Tier-1 employer and metro location increase competition, while senior treasury specialization limits candidate pool.
Finance operations and treasury skills transfer across industries but require domain knowledge, yielding moderate transferability.
Explicit 10–12 years, managerial treasury/AR-AP/R2R experience and Oracle/SAP tool requirements make filtering strict.
Lead and manage cash application, cash operations, and cash accounting/reconciliation activities within LSEG Finance Services Operations.
Oversee liquidity management of Group bank accounts including intercompany invoice settlement and payment approvals across regions using banking platforms.
Drive automation and improvement initiatives like AI Cash tool implementation with Oracle Fusion, bank migration projects, and direct debit process management.
10 to 12 years work experience in AR/AP/R2R, Cash Application, Treasury, or banking field preferred with team management experience in a large organization.
Bachelor/Master/MBA degree in finance, accounting, or business.
Proficiency in Oracle, SAP, financial systems, and Power BI; knowledge of AI tools for cash matching is desirable.
Work Experience Required: 10 to 12 years specifically in relevant finance operations domains.
Experienced manager familiar with financial controls, reconciliation processes, and cash management in large, global financial services environments.
Strong operational focus on improving cash application efficiency via technology and process automation.
Capable of leading cross-functional projects and collaborating with treasury, finance teams, and other partners globally.