Treasury Analyst - FX & Payments

VISA CONSOLIDATED SUPPORT SERVICES (INDIA

India

On-site

INR 700,000 - 1,200,000

Full time

14 days+

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Job summary

VISA CONSOLIDATED SUPPORT SERVICES (INDIA) is seeking a skilled professional to manage FX trade execution, reconciliation, and process improvement. The role demands strong analytical skills, a background in finance, and at least 2 years of relevant work experience.

The ideal candidate will have expertise in MS Excel and familiarity with foreign exchange transactions. This position offers opportunities for professional growth and is set in a dynamic financial environment.

Qualifications

  • 2+ years of experience in finance or related field.
  • Experience in a treasury operations environment is desirable.
  • Expert knowledge of foreign exchange transactions and instruments.

Responsibilities

  • Execute and maintain system postings for FX trades.
  • Investigate and resolve breaks in reconciliation.
  • Perform validation checks and ensure compliance.

Skills

FX trade support
Analytical skills
MS Excel
Problem-solving
Communication
Process improvement

Education

Bachelor's Degree
Advanced Degree (e.g., MBA)

Tools

Power Automate

Job description

Responsibilities
  • Trade & Liquidity Operations Execution: Execute and maintain system postings for FX trades, liquidity movements, and collateral activity to ensure accurate and timely reflection of funding, positioning, and trading activity across platforms.
  • Reconciliation & Position Management: Partnering with reconciliation teams, investigate and resolve breaks, track FX position movements, restricted balances, and collateral postings to maintain a clear and accurate view of exposures and balances.
  • Control, Validation & Governance: Perform post-execution validation checks, support audit and control testing, and ensure that all activities align with internal policies and a robust control environment.
  • FX Trade Lifecycle Support: Support the end-to-end FX trade lifecycle, including confirmations, system rate maintenance, trade benchmarking, and execution analysis to ensure accuracy, transparency, and continuous improvement in trading outcomes.
  • Client & System Configuration Management: Maintain and update client configurations, trading limits, and key static data to ensure systems are accurately aligned to client requirements and risk parameters.
  • Reporting & Performance Insight: Produce daily FX revenue reporting, end-of-day summaries, and operational tracking to provide visibility on performance, activity, and key risk indicators.
  • Documentation & Process Ownership: Maintain high‑quality on‑desk documentation and support continuous process improvement by identifying opportunities to streamline workflows and enhance operational efficiency.
Basic Qualifications
  • 2 or more years of work experience with a Bachelor's Degree or an Advanced Degree (e.g., Masters, MBA, JD, MD, or PhD).
Preferred Qualifications
  • 3 or more years of work experience with a Bachelor's Degree or more than 2 years of work experience with an Advanced Degree (e.g., Masters, MBA, JD, MD).
  • Undergraduate degree or Treasury, Investment Management, or another Finance‑related professionally recognized accreditation.
  • Experience in process improvement and automation design, particularly using AI tools (e.g., Claude, Power Automate).
  • Prior experience in a high‑volume, fast‑paced treasury, or payments environment.
  • Strong adaptability and ability to respond quickly to shifting priorities.
  • Work experience in treasury operations, cash management, or ability to demonstrate a strong working knowledge of finance or mathematics.
  • Expert working knowledge of MS Excel.
  • Demonstrated understanding of foreign exchange rates and calculations.
  • Strong numerical and analytical skills, preferably gained within a finance discipline.
  • Strong problem‑solving skills with the ability to identify issues, develop solutions, and see through to resolution.
  • Ability to work accurately under pressure and meet deadlines in a fast‑paced environment.
  • Excellent communication skills (written, verbal, and listening).
  • Ability to work both independently and as part of a team.
  • High attention to detail with strong organizational skills.
  • Commitment to integrity and professional standards.
  • Demonstrated willingness to learn and continuously self‑develop.
  • Proven ability to collaborate effectively across teams and stakeholders.
  • Experience contributing to operational efficiency improvements or workflow optimization initiatives.
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