Team Lead Treasury and BRS

LKQ India

Bengaluru

On-site

INR 3,500,000 - 7,000,000

Full time

14 days+

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Job summary

LKQ India seeks a proactive Team Lead to oversee our Europe - Treasury and BRS, ensuring accurate financial reporting and compliance while driving efficiency and continuous improvement.

The role covers treasury operations across Europe including cash & liquidity management, bank activities, reconciliations, and governance. You will lead a high-performing team, implement automation, and collaborate with Finance, Banks, Audit, and Business teams.

Qualifications

  • 8-10 years of general ledger experience in an ERP environment.
  • 3+ years of team handling experience.
  • Strong knowledge of IFRS/US GAAP and consolidation.
  • Proven leadership and team management experience.
  • Core Treasury Operations experience and treasury systems and controls.
  • Experience working with large data volumes and converting into meaningful reporting.

Responsibilities

  • Lead end-to-end Treasury Operations, including cash management, liquidity monitoring, fund transfers, and banking transactions.
  • Ensure compliance, accuracy, and timely execution of treasury activities.
  • Oversee daily, weekly, and monthly bank reconciliations across multiple accounts/entities.
  • Drive resolution of reconciliation exceptions and strengthen financial controls.
  • Monitor cash positions and support working capital optimization.
  • Lead, mentor, and develop treasury and reconciliation teams; manage performance and resource allocation.
  • Establish and enforce SOPs, internal controls, SOX controls and governance frameworks.
  • Drive process improvements through automation, digitization, and operational excellence initiatives.
  • Ensure compliance with audit, regulatory, and risk management requirements.
  • Collaborate with Finance, Accounting, Banks, Audit, and Business teams for seamless operations.
  • Provide MIS, dashboards, KPIs, and management reporting.
  • Act as escalation point for critical treasury and reconciliation issues.
  • Build a future-ready, high-performing team focused on innovation and continuous improvement.

Skills

English communication
Leadership
Ownership/Accountability
Analytical skills
Process improvements
Problem-solving

Tools

Oracle ERP (EOS)
Kyriba
Bill Trust
Advanced Excel

Job description

Role & responsibilities

Proactive Team Lead to oversee our "Europe - Treasury and BRS" ensuring accurate financial reporting, compliance with accounting standards, and leading the team with a focus on operational efficiency and continuous improvement.

Responsible for driving operational excellence, ensuring accuracy and compliance in treasury activities, leading a high-performing team, and implementing innovative, future-ready solutions to enhance efficiency and control. The ideal candidate will possess strong leadership capabilities, process improvement expertise, and a strategic mindset focused on automation, digital transformation, Daily Bank Reconciliation and Continuous Improvement.

This role covers overall accounting for EUROPE region including Treasury & Bank activities including Cash & Liquidity Management, Payment Operations Oversight, Bank Account Management, Team Supervision and Adherence to Compliance and Risk Management and Reconciliation & Accounting Coordination

Preferred candidate profile
  • Lead end-to-end Treasury Operations, including cash management, liquidity monitoring, fund transfers, and banking transactions.
  • Ensure compliance, accuracy, and timely execution of treasury and banking activities.
  • Oversee daily, weekly, and monthly bank reconciliations across multiple accounts/entities.
  • Drive resolution of reconciliation exceptions and strengthen financial controls.
  • Monitor cash positions and support working capital optimization.
  • Lead, mentor, and develop treasury and reconciliation teams; manage performance and resource allocation.
  • Establish and enforce SOPs, internal controls, SOX Controls and governance frameworks.
  • Drive process improvements through automation, digitization, and operational excellence initiatives.
  • Ensure compliance with audit, regulatory, and risk management requirements.
  • Collaborate with Finance, Accounting, Banks, Audit, and Business teams for seamless operations.
  • Provide MIS, dashboards, KPIs, and management reporting.
  • Act as escalation point for critical treasury and reconciliation issues.
  • Build a future-ready, high-performing team focused on innovation and continuous improvement.
Key Stakeholders

1. Treasury Operational, Cash & Bank and commercial finance teams.

2. LKQ Europe finance team.

3. LKQ Internal Audit team.

4. Director of Financial Reporting and Projects.

Experience

1. 8 - 10 years in general ledger experience in an ERP environment.

2. Minimum 3+ Years of Team Handling Experience.

3. Strong knowledge of accounting principles (IFRS/US GAAP/ and Consolidation of accounts).

4. Proven leadership and team management experience.

5. Core Treasury Operations Experience and Treasury systems and Controls.

6. Experience of working with large volumes of data and converting into meaningful reporting.

Knowledge

1. Major ERP system experience (Oracle / EOS), Advanced Excel.

2. Good hands-on experience with end-to-end knowledge on Bill Trust, Kyriba.

3. Hands-on experience working in European Treasury and Banking activities.

Skills

1. Good English communication skills both - spoken & written.

2. Excellent leadership, communication, and interpersonal skills.

3. Proactive with a strong sense of ownership and accountability.

4. Detail-oriented with a commitment to accuracy and efficiency.

5. Strong analytical and problem-solving abilities with a focus on continuous improvement.

6. Drive Process Improvements.

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