π¨ WEβRE HIRING β TREASURY / CASH MANAGEMENT OPERATIONS
π Location: Hyderabad
π’ Work Mode: Work from Office
β° Shift: Flexible to any shift | 5:30 PM β 3:30 AM
π Working Days: 5 Days
π° Salary: Up to βΉ14 LPA
π Notice Period: Up to 60 Days
πΉ ROLE: TREASURY / CASH MANAGEMENT OPERATIONS
Key Responsibilities:
β’ Handle day-to-day Cash Management & Treasury Operations.
β’ Process and manage high-volume payments with accuracy.
β’ Coordinate with onshore partners and manage operational queries.
β’ Handle client communication and relationship management.
β’ Ensure timely resolution of team, client, and onshore queries.
β’ Maintain strong attention to detail while processing financial transactions.
β’ Demonstrate a proactive approach toward process management and issue resolution.
β’ Develop good understanding of FX Trades and FX processes.
β’ Ensure adherence to process guidelines, controls, and SLAs.
β’ Support process improvement and operational efficiency.
πΉ REQUIRED SKILLS:
β Cash Management / Treasury Operations
β FX Trades / Foreign Exchange
β Payment Processing
β Client Handling
β Onshore Stakeholder Management
β Strong MS Excel Knowledge
β Excellent Communication Skills
β Problem-Solving & Analytical Skills
β High Attention to Detail
β GOOD TO HAVE:
β’ Private Equity domain knowledge.
β’ Experience in **Banking / Financial Services / Investment Banking.
β’ Exposure to global clients and international operations.
π© Interested candidates can share their updated CV
HR Madhuri Reddy R
π 9136535233
π§ madhuri@careerguideline.com