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Treasury Controller - Global Captive Center (GCC)
Bengaluru, Karnataka, India · Tempo pieno
Sii il primo a candidarti
- Esperienza
- 15–20 yrs
- Stipendio
- —
- Aperture
- 1
- Pubblicato
- 4 ore fa
- Modalità di lavoro
- In ufficio
- Istruzione
- B.Com
- Requisiti di ammissibilità
- Graduates with a Bachelor of Commerce degree in any specialization are eligible to apply.
- Riprendere
- È necessario candidarsi
Dove lavorerai
Descrizione del lavoro
Position Overview
We are seeking an experienced Treasury Controller to join a premier Global Captive Center located in Bangalore. This strategic role involves supervising global treasury functions including liquidity management, intercompany financing, foreign exchange exposure, and banking relationships to align with the organization's financial goals.
Key Responsibilities
- Lead strategic financial operations and governance, ensuring robust control frameworks, streamlined processes, and accurate reporting.
- Manage daily treasury activities such as cash positioning, accounts payable, and banking transactions, maintaining solid internal controls.
- Oversee global cash flow forecasting, liquidity planning, and working capital visibility, handling short-term funding and surplus cash investments.
- Collaborate closely with the Global Treasurer and regional controllers to enhance forecast precision and working capital insights.
- Supervise all intercompany loans, notional pooling, and cash pooling structures, including settlements and timely interest accruals with reconciliations.
- Drive global transition initiatives related to treasury functions.
- Serve as a primary advisor to organizational leadership to influence financial performance and strategic decision-making.
Candidate Profile
- Possess a Bachelor's degree in Commerce or equivalent experience.
- Have 15 to 20 years of treasury management experience, preferably within captive centers or Global Captive Centers (GCC).
- Hold a Certified Treasury Professional (CTP) qualification is desirable.
- Experienced in global ERP systems including SAP, Navision, and Oracle.
- Strong expertise in general ledger and month-end financial closing processes.
- Advanced analytical skills with proficiency in Excel tools such as Power BI, Hlookup, and Vlookup.
- Excellent communication skills for effective stakeholder engagement.
Competenze
Excel avanzato
Analisi finanziaria
Rendicontazione finanziaria
Comunicazione con le parti interessate
Treasury Operations
General Ledger Management
Liquidity Management
Foreign Exchange Management
Cash Forecasting
banking relationship management
Intercompany Financing
ERP Systems (SAP, Navision, Oracle)