- Proficient in advanced MS-Excel, responsible for preparing and managing analytical projects assigned by the India lead region.
- Primarily handle databases related to financial reports, intercompany reports, loans, credits, banks, interest payments, etc
- Manage day-to-day operations related to treasury functions, including interactions with banks, cash reports, and cash forecasts. Coordinate with global treasury teams.
- Perform any other analytical or treasury activities requiring expertise in Microsoft Excel.
- Liaise with regions and handle ad-hoc requests from regional finance teams.
- Knowledge of VBA/Macro is an advantage. Demonstrated analytical skills in handling large volumes of data and preparing analytical reports for management.
- Experience in treasury operations and financial data modeling (1 to 3 years).
- Excellent verbal and written communication skills.
- Flexible to overlap with region between 6 PM to 9 PM.
- Strong presentation skills.
Employment Type: Full Time, Permanent
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