- Bachelor s degree from a reputed college
- Professional written and verbal fluency in English
- Minimum of 1-4 years of prior experience in Finance/Treasury/Banking Processes
- Experience with Legal documentation is a plus
Roles and Responsibilities - Facilitate the opening, closing and maintenance of bank accounts.
- Support the Treasury team in managing, updating, and completing maintenance requirements for bank account signatories worldwide.
- Facilitate in processing documents for AML (Anti-Money Laundering), KYC, account opening, etc.
- Act as the back-up system administrator for BNP, JPM, Citibank, Wells Fargo and HSBC
- Act as the back-up issuer of Bank Guarantees for Citi and BNP
- Facilitate manual processing of online banking system access requests for EMEA countries.
- Support and work on ad hoc Treasury projects as required.
- Co-ordinate with other Treasury resources responsible for Cash, Bank Account Management, Transaction Processing etc.
- Co-ordinate with the Oracle Tax, Legal and Global Controllers Org. (GCO)
Preferred Skills - Self-starter, proactive and detail oriented
- Strong analytical skills
- Excellent team working skills
- Strong verbal and written communication skills
- Excellent computer skills, particularly advanced MS Excel
- Goal oriented and capable of completing deliverables on time with minimal supervision
READ CAREFULLY - We are NOT looking for people who cannot work in flexible shifts.
- We are looking for Finance/Treasury/Banking Specialists who are eager to take on challenging tasks within Treasury domain and can work in flexible shifts to collaborate with Oracle s Treasury Senior management in the US Pacific Time zone
Employment Type: Full Time, Permanent
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