Assistant Manager - Treasury - Global Service Centre

The Peninsular and Oriental Steam Navigation Company

India

On-site

INR 1,200,000 - 1,800,000

Full time

14 days+
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Job summary

DP World Global Service Centre in Navi Mumbai is seeking an Assistant Manager - Treasury to support the SSA treasury team with daily operational activities. The role emphasizes Kyriba data maintenance, facility scheduling, and monthly reporting, including bank guarantees and FX.

The successful candidate will manage cash, collaborate with CFOs across Market Access, and produce concise treasury packs while ensuring accuracy and timely updates.

Qualifications

  • Minimum 3 years in a treasury position
  • Kyriba proficiency is mandatory
  • Excellent Excel and Word skills

Responsibilities

  • Support SSA treasury with operational activities across the region
  • Prepare ALCO packs and take meeting minutes
  • Maintain and upload facility schedules and bank confirmations on Kyriba
  • Generate monthly facilities reports for SSA Treasury

Skills

Kyriba
MS Excel
Communication
Attention to detail
Multitasking

Education

Finance related degree

Tools

Kyriba
MS Office

Job description

About DP World

Trade is the lifeblood of the global economy, creating opportunities and improving the quality of life for people around the world. DP World exists to make the world’s trade flow better, changing what’s possible for the customers and communities we serve globally. With a dedicated, diverse and professional team of more than 111,000 employees from 159 nationalities, spanning 77 countries on six continents, DP World is pushing trade further and faster towards a seamless supply chain that’s fit for the future. We’re rapidly transforming and integrating our businesses -- Ports and Terminals, Marine Services, Logistics and Technology – and uniting our global infrastructure with local expertise to create stronger, more efficient end-to-end supply chain solutions that can change the way the world trades. What's more, we're reshaping the future by investing in innovation. From intelligent delivery systems to automated warehouse stacking, we’re at the cutting edge of disruptive technology, pushing the sector towards better ways to trade, minimizing disruptions from the factory floor to the customer’s door.

About DP World Global Service Centre

DP World’s Global Service Centre (GSCs) are key enablers of growth delivering standardization, process excellence and expertise, and automation in areas of Finance, Freight Forwarding, Marine Services, Engineering and Human Resources, helping accelerate DP World’s growth and business transformation. As we experience exponential growth, there has never been a more exciting time to join us. Discover your next role here and change what’s possible for everyone! As an equal employer that recognizes and values diversity and an inclusive culture, we empower and up-skill our people with opportunities to perform at their best. Join us and be part of an amazing team that is transforming the future of world trade.

Role Purpose

The purpose of the treasury administrator is to provide support to the SSA treasury team relating to the operational activities for the region.

Designation

Assistant Manager - Treasury - Global Service Centre

Base Location

Navi Mumbai

Reporting to

GSC Finance Head – Tax Reporting & Compliance - Global Service Centre

Key Role Responsibilities
  • Liaising with SSA Treasury team to provide support to the SSA treasury team relating to the operational activities for the region and provide any assistance that is required on an ad hoc basis
  • Kyriba – Monthly Database Maintenance and Monthly Reporting
  • Maintain and upload monthly facility schedules requested/ received from Banks and Business units within SSA region onto Kyriba and SSA Treasury Folder
  • Using monthly facility schedules provided by Banks and Business units, create, maintain and update all short and long-term facilities (facility values, utilisation at month-end, interest rates, start dates, maturity dates, security provided) on Kyriba
  • Maintain and upload all facility letters for all short and long-term facilities on Kyriba
  • Update and provide a monthly consolidated report of all short and long-term facilities (facility values, utilisation at month-end, interest rates, start dates, maturity dates, security provided) to SSA Treasury
  • Maintain and upload copies of all Bank Guarantees, Corporate Guarantees and Letters of Comfort on Kyriba
  • Maintain and update values for outstanding Bank Guarantees, Corporate Guarantees and Letters of Comfort on Kyriba
  • Provide a consolidated report of all short and long-term facilities to SSA Treasury
  • Upload and maintain latest company statutory documents and Resolutions
  • Maintain and upload Bank account registry for all Business units on Kyriba
  • Cash Management – Daily Duties
  • Download bank balances from various banking platforms
  • Upload bank account balances to treasury management system
  • Retrieve and update daily FX rates received from treasury management system and share with relevant stakeholders
  • Capture/ Upload daily cash management files/ schedules into banking systems for payment execution.
  • Check Treasury email server for bank statements and save onto SSA Treasury folder
  • Check Treasury email server for bank deal confirmations and save onto SSA Treasury folder
  • Check Treasury email server for bank interest statements and save onto SSA Treasury folder
  • Check Treasury email server for bank commitment fee invoices and save onto SSA Treasury folder
  • Preparation of ALCO Packs
  • Taking the minutes of the meeting,
  • Obtaining required schedules and inputs from CFOs across the Market Access businesses
  • Providing a detailed breakdown of all foreign exchange exposure (Trade, Loans & Leases), cash resources & bank facilities across Africa, monitoring of all intercompany loans, monitoring of foreign currency reserves per country as well as coordinating all action points from previous meetings
  • New proposals with the various Finance Executives from Market Access
  • Monthly Facilities Reporting
  • Obtaining debt schedules from various business units across Market Access and Logistics
  • Consolidate facilities and ensure information obtained agrees to financial reporting
  • DP World Treasury Applications
  • Obtain directive from the Treasury Manager and / or SSA Treasurer on new applications to be executed on the DP World Treasury Platform
  • Obtain supporting documents from relevant team across the business and ensure all documents listed on the checklist have been obtained
  • Escalate any delays to the SSA treasurer and / or Treasury Manager
  • Track applications and ensure all updates are clearly communicated.
Skills & Competencies
  • Minimum of 3 years in a treasury position, either back or middle office
  • Very high Proficiency in MS Office Applications, particularly Excel and Word
  • A very high level of proficiency and hands-on experience with Kyriba is mandatory
  • Good communication skills
  • Strong attention to detail and accuracy.
  • Ability to handle multiple tasks and meet deadlines.
  • Excellent written and verbal communication skills.
Education & Qualifications
  • Educational qualification in finance related degree
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