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HITACHI VANTARA INDIA PRIVATE LIMITED is seeking a Treasury Analyst to support daily cash management and intercompany activities for the US treasury team, while adapting to a UK shift. The role involves forecasting cash flow, reconciliations, and process improvements to drive cost savings.
You will collaborate with Accounting, Tax, Finance, Internal Audit, Legal and other cross-functional teams, ensuring adherence to treasury policies and controls.
The Analysts primary responsibility will be to perform daily Treasury activities, provide support to the Corporate Treasury team based in the USA with a focus on cash management and operational tasks, and participate in special projects and process improvement activities. As part of the Corporate Treasury Department, you will interact with members of Accounting, Tax, Finance, Internal Audit, Legal, and other departments. While you will be dealing with a US based treasury team you will be required to work a UK shift.