Treasury Analyst

Altisource
Hybrid

About The Position

Altisource is seeking a detail-oriented and analytical Treasury Analyst to join its finance team in Bengaluru, India. This role is crucial for strengthening the corporate Treasury function and supporting global finance operations within a dynamic, fast-paced global environment. The Treasury Analyst will be responsible for managing cash flows, analyzing financial data, and supporting treasury operations to optimize the organization's liquidity and financial position. The ideal candidate will demonstrate strong analytical capabilities, exceptional organizational skills, and a commitment to accuracy in all financial matters. Altisource values integrity, empowering innovation, exceeding customer expectations, teamwork, and enriching communities.

Requirements

  • A bachelor’s degree in Accounting, Finance, or a related field
  • US Industry experience required.
  • 2+ years of experience
  • Ability to work well in a fast-paced environment with tight deadlines and minimal guidance.
  • Ability to multitask and prioritize effectively while responding to requests in a timely manner.
  • Excellent collaboration, verbal and written communication skills.
  • Experience in banking, transaction process, or financial process.

Nice To Haves

  • some Finance or Treasury experience preferred but not required.

Responsibilities

  • Support cash management and forecasting process.
  • Contribute to the global cash management strategy.
  • Resolve fraudulent payment issues and payment exceptions.
  • Process high-priority payments in a timely and accurate manner via bank websites.
  • Generate reports for supporting teams.
  • Monitor bank service fees and address quality issues.
  • Participate in cross-functional Finance projects as necessary.
  • Liaise with other business units to support management in answering their queries.
  • Support and assist in data preparation for audit.
  • Process High priority wire payments – gain confidence in processing wires in banking platforms within turnaround time and before cutoff.
  • Funding different accounts in various bank – Learn the basics of Cash Positioning and get approval from authorized employees to fund accounts. This facilitates payments other business units request to Treasury, immediately due to liquidity availability.
  • Decision-making – Learn the different processes in Treasury as quick as possible to gain confidence in making decisions regarding wire process and checks approval in various banks.
  • On Time Delivery of Daily Cash Report – Learn how to prepare the report working with reporting manager and other members of the team to deliver it accurately and on time daily without fail.

Benefits

  • Attractive salary commensurate with skills, experience and qualifications
  • Comprehensive insurance plans; - Medical insurance for employees and family, Personal Accident Benefit and Life Insurance for employees
  • 10 paid holidays, plus 26 paid days off per year
  • Lots of employee engagement activities
  • Unbeatable work from home flexibility
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