Treasury Cash Management Analyst - EAME

ExxonMobil

India

On-site

INR 1,200,000 - 2,400,000

Full time

14 days+

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Job summary

ExxonMobil is seeking a Cash Management Advisor- Advanced in Bangalore to manage global liquidity and cash infrastructure. You will consolidate forecasts, optimize cash balances, and lead complex treasury processes across EMEA and global affiliates.

Strong analytical skills, controls mindset, and stakeholder management are essential. The role requires 3+ years in cash management or treasury operations, a finance degree, and proficiency with Excel, Power BI, SQL, and SAP.

Qualifications

  • Minimum 3 years of relevant experience in Cash Management, Treasury or Treasury Operations.
  • Degree in Finance: Bachelor/Master/CMA/CPA/MBA/CA.
  • Strong analytical and troubleshooting skills with ability to interpret complex data.
  • Commitment to controls and operational excellence.
  • Ability to meet tight deadlines, manage heavy workloads and multiple stakeholders.
  • Strong time management and accuracy in a fast-paced environment with clear communication.
  • Proficiency in Microsoft Office 365 (Excel, Word) and data analytics tools is an asset.

Responsibilities

  • Consolidate, validate, and contextualize cash flow forecasts across Global Treasury Centers.
  • Assess and compare liquidity sources to optimize financial flexibility.
  • Identify and implement strategies to optimize global cash balances across currencies.
  • Lead complex treasury procedures: cash concentration, in-house banking, and new business activity integration.
  • Partner with treasury leadership to drive efficiency and innovation in global cash management.
  • Support special initiatives and strategic projects with analytical work and business cases.

Skills

Analytical skills
Troubleshooting
Controls & compliance
Time management
Communication
Digital literacy

Education

Bachelor/Master/CMA/CPA/MBA/CA

Tools

Power BI
Tableau
SQL
Snowflake
SAP
Excel
Word

Job description

About us

At ExxonMobil, our vision is to lead in energy innovations that advance modern living while reducing emissions. As one of the world's largest publicly traded energy and chemical companies, we are powered by a unique and diverse workforce fueled by the pride in what we do and what we stand for.

The success of our Upstream, Product Solutions and Low Carbon Solutions businesses is the result of the talent, curiosity and drive of our people. They bring solutions every day to optimize our strategy in energy, chemicals, lubricants and lower‑emissions technologies.

We invite you to bring your ideas to ExxonMobil to help create sustainable solutions that improve quality of life and meet society's evolving needs. Learn more about our What and our Why and how we can work together.

Global Business Services provide industry leading financial services and accounting support from India and will migrate Cash Management Operations activities supporting Europe, Middle East and Africa.

What Role you will play in the team
  • The Cash Management Operations team supports 300 affiliates/JVs, executes over 2K intercompany transactions, and considers approximately 10K items for accurate cash forecasting for Europe, Middle East and Africa and coordinates with other Cash Management teams in Asia and Americas for corporate cash forecasting. The successful Cash Management Operations Analyst will be responsible for executing all daily operational processes related to cash flow forecasting, funding of business liquidity needs, cash concentration for global investing, intercompany foreign exchange, and investment/lending and borrowing transactions for all ExxonMobil Affiliates and Joint Ventures in the region.
What you will do
  • Management, consolidation and review of EMEA Treasury Center and Affiliate/JV short-term and long-term expected cash flows
  • Provide reliable data to the Trading team to enable minimization of cash working capital for ExxonMobil globally
  • Manage EMEA Treasury Center Currency Pool accounts through daily reconciliation and forecasting of month end and quarterly balances
  • Manually fund/defund Affiliate/JV bank accounts based on daily reconciliation, balance forecasting and monitoring of bank exposure limits
  • Timely funding of accounts for external investments and FX transactions settled in bulk
  • Management of EMEA Treasury Center In-house Bank Intercompany settlements, including daily Central Clearing House (CCH) and notional settlements
  • Contribute to and/or manage projects, for example, Treasury Management System Upgrade, global cash forecasting tool improvements, corporate restructuring (acquisitions, divestments, new affiliates or country entry), migration of work activities to/from EMEA Cash Management OperationCommunication with external financial counterparties as well as internal ExxonMobil stakeholders.

Job will be based in Bangalore Whitfield EM office for 5 days a week. (to be confirmed)

Required skills and qualifications
  • Experience: Minimum 3 years of relevant experience in Cash Management, Treasury or Treasury Operations
  • Degree in Finance: Bachelor/Master/CMA/CPA/MBA/CA
  • Strong analytical skills and troubleshooting skills with ability to interpret complex data
  • Commitment to controls and operational excellence
  • Ability to effectively adapt to tight deadlines, heavy workloads and manage multiple stakeholders
  • Strong time management skills and ability to manage multiple priorities in a fast‑paced environment with high accuracy
  • Sound communication skills for clear engagement with both internal and external counterparties
  • Digital acumen: Proficiency in Microsoft Office 365 (Excel, Word), experience with Power BI, Tableau, SQL, Snowflake, SAP and data analytics is an asset
  • Flexible, resilient, and committed to evolving business needs
Job Group Capability

Finance

Job Group

Treasury & Capital Markets

Job Role Description

The Cash Management Advisor- Advanced is responsible for delivering expert guidance and managing global liquidity and cash infrastructure

Job Role Responsibilities
  • Consolidate, validate, and contextualize cash flow forecasts across Global Treasury Centers, ensuring accuracy, visibility, and alignment with enterprise liquidity needs
  • Assess and compare alternative liquidity sources beyond cash balances (e.g. overdrafts, credit facilities) to optimize financial flexibility
  • Identify and implement strategies to optimize global cash balances across currencies, minimizing idle balances and reducing FX exposure
  • Lead the execution of complex treasury procedures, including cash concentration structures, in-house banking transactions, and integration of new business activities
  • Partner with treasury leadership to drive efficiency and innovation in global cash management
  • Support special initiatives and strategic projects through analytical work, business case development, and recommendations
Functional Skills

Nothing herein is intended to override the corporate separateness of local entities. Working relationships discussed herein do not necessarily represent a reporting connection, but may reflect a functional guidance, stewardship, or service relationship.

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