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24/08 Rubal Sharma
Resource Executive at Anlage

Views:284 Applications:59 Rec. Actions:Recruiter Actions:8

Treasury Analyst/Senior Treasury Analyst - CA/CPA (2-5 yrs)

Bangalore/Chennai Job Code: 1305429

Skill : Stress testing, liquidity reporting, treasury exp risk reporting

Location: Bangalore / Chennai

Experience: 2 to 5years of Liquidity reporting specifically

Role - Individual Contributor role

Shift 1.30 pm -10.30 pm

Work Model-Hybrid (3 days work from office / 2 days work from home)

Essential Qualifications:

- 2-5 years of experience in one or a combination of the following: finance, accounting, analytics and reporting.

- CA, CMA, CPA, CA Inter, CMA Inter, MCom, MBA degree or higher in Finance, Accounting, Statistics, Economics, Business and 4-6+ years of experience in one or a combination of the following: finance, accounting, analytics or reporting

Advanced SQL skills:

- 2+ years of Liquidity or other Corporate Treasury experience

- Experience with financial models especially in areas of documentation and governance

- Experience with financial systems project development and user acceptance testing

- Experience with governance and oversight requirements for regulatory and risk reporting

- Knowledge and understanding of treasury management industry: asset liability management (ALM), liquidity management, and stress testing

Desired Qualifications:

- Ability to successfully operate in a complex and matrixed environment

- Strong analytical skills with high attention to detail and accuracy

- Excellent verbal, written, and interpersonal communication skills

- Ability to exercise independent judgment to identify and resolve problems

- Advanced Microsoft Excel skills

- Experience with general ledgers and accounting policies

About the Role:

- Assisting in the aggregation and review of consolidated inputs for the firm's Loan and Interest for resolution reporting, with potential to assist with reporting to the Federal Reserve via the FR2052A submission.

- Providing complex financial analysis and research in support of management decision-making for consolidated liquidity planning related to Loan and Interest cashflows


- Managing data processes to support compliance with emerging regulations on liquidity management and stress testing

- Researching and enhancing reliability of liquidity related data across the firm

- Identifying and implementing solutions related to complex liquidity issues and contribute to on-going strategic decisions within Treasury and company-wide

- Preparation of additional ad-hoc analyses/presentations and completing special projects of varying life spans

- Assist in the development, maintenance and execution of Governance & Oversight framework documentation and controls including reconciliation and variance analysis

- Assisting in further development of proprietary reporting tools and testing of implementation of improvements/enhancements

- The ideal candidate will have a demonstrated track record of attention to detail, and critical thinking. They will possess excellent collaboration and organization skills, with the proven ability to develop cross-functional relationships and the capability to manage to deadlines. She/he will be able to work independently, be highly organized, able to prioritize multiple tasks, and take on new challenges.

- Market Skills and Certifications

This job opening was posted long time back. It may not be active. Nor was it removed by the recruiter. Please use your discretion.

Women-friendly workplace:

Maternity and Paternity Benefits

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