
Job Description:
- Preparing Daily Cash Flow / Liquidity Management
- Monitoring the daily inter-bank transactions and fund movements and ensuring timely settlement. Taking quotes for FD placement and placing FD's
- Collation of various banking and treasury information and reporting
- Closely working with banks and drafting correspondences to Bank
- Submission of various data to banks such as KYC review, Account opening, Account closure and Signatory change
- Close co-ordination with regional team to ensure that all reports are timely submitted and databases are correctly maintained. Guiding them wherever required as a Regional SPOC.
- Analysing and preparing Global Liquidity related reports
- Preparing Actual and forecasted Cash upstreaming
- Bank Charges monitoring
- Maintaining database and updating records for Global Bank Guarantees
Requirement:
- Ability to work with teams from various regions and different time zone
- Good interpersonal and communication skills
- Good Excel knowledge is preferred
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