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Treasury Analyst - APAC

Tag

2 - 3 years

Gurugram

Posted: 08/01/2026

Job Description

Position Overview


The APAC Treasury Analyst is responsive for all banking, Treasury and cash flow management matters for all operating entities of APAC region.


Key Responsibilities

  • APAC Cashflow forecast consolidation as per the Global requirement
  • Accountable for updating APAC entity actuals in the adaptive software system
  • Cash and Liquidity Management
  • Banking Relationships and Compliance
  • Accountable for managing the Cash Position for all APAC entities
  • Liaising with Global team across TAG to understand & articulate key trends, risks and opportunities in the monthly reporting and forecasting process
  • Month end cash bank reconciliation
  • Ad hoc requests


Qualifications & Experience

  • MBA (Finance)/ Chartered Accountant (CA), CPA, or equivalent professional qualification, with 2-3 years of experience in managing Banking/Treasury back office operations at any multinational organizations


Key Competencies

  • Proven experience in a similar cash management or treasury role within a large multinational with regional and group functions
  • Experience working in ERP systems environments (e.g. Workday or SAP or similar) and performance reporting systems (e.g. Adaptive Insights or similar)
  • Experience in Treasury Management systems (i.e Coupa or Kryiba)
  • Effective communication and presentation skills with ability to communicate clearly with senior finance staff both internally and with our parent company

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