Treasury Assistant New Mumbai

Modulr Finance Limited

Hinoba-an

On-site

PHP 792,000 - 1,187,000

Full time

3 days ago
Be an early applicant
Application generator

Don’t send a generic resume — generate a resume and cover letter tailored to this exact role.

Get past ATS filters

Job summary

Modulr Finance Limited is seeking a detail-oriented Treasury Analyst to join our Finance & Treasury team in India. You will manage daily treasury operations, ensuring accurate bank reconciliations across multiple entities and currencies, and support banking relationships with a focus on precision and compliance.

Reporting to the AP & Payroll Supervisor, you will reflect banking activity in NetSuite and assist with month-end close, fund management and regulatory compliance while driving

Qualifications

  • 3-5 years' experience in a treasury or finance operations role.
  • Hands-on month-end bank reconciliations end-to-end.
  • Experience with multiple banking systems and payment platforms.

Responsibilities

  • Review balances across accounts by entity and currency.
  • Prepare treasury transfer instructions for review and approval.
  • Confirm funding ahead of supplier payments, payroll and scheduled obligations.
  • Monitor approved payments and investigate delays, rejections or issues.
  • Maintain accurate bank reconciliations and related postings.
  • Document treasury processes end to end, including controls and escalation routes.

Skills

Treasury operations
Bank reconciliations
Cash management
ERP systems (NetSuite)
Financial reporting
Attention to detail

Tools

NetSuite

Job description

  • Are you curious, excited by experimentation and always looking to innovate?
  • Do you want to work in embedded payments where you can keep learning and developing whilst getting hands‑on experience?
  • Do you want to have the opportunity to play an important role in a rapidly growing and exciting Fintech business?

If so, we would love to connect and collaborate!

Who We Are

Modulr is the payments automation platform that streamlines money movement with accuracy, control and reliability — built to scale. We process more than 200m transactions and over £180bn in payment value on an annualised basis, and we’re trusted by over 6,000 businesses from fast‑growing SMEs to global enterprises.

We automate how money moves into and out of a business — payroll, supplier payments, spend management and payment collection — through a single platform, connected to the accounting and payroll systems finance teams already use and underpinned by principal memberships of Visa and Mastercard and direct access to central bank infrastructure.

As a regulated payments provider with over a decade of experience, we’re the platform finance teams trust to run mission‑critical operations. Modulr is backed by PayPal, FIS, General Atlantic, Blenheim Chalcot, Frog Capital and Highland Europe, with over 400 employees across London, Edinburgh, Amsterdam, Mumbai and Pune.

About the Role

We're seeking a detail‑oriented Treasury Analyst to join Modulr's Finance & Treasury team in India. In this role, you'll be responsible for managing daily treasury operations, ensuring accurate bank reconciliations, and maintaining our corporate banking relationships, reconciling c.150 corporate bank accounts spanning multiple entities and regions, and across multiple banking platforms. Working within the finance team and reporting to the AP & Payroll Supervisor, you'll play a vital role in reflecting our banking transactions accurately in NetSuite and ensuring all corporate bank accounts are properly recorded. You'll be key to supporting our financial control team with timely reporting, fund management, and month‑end activities while maintaining the highest standards of accuracy and compliance.

Key Responsibilities
Cash and Balance Monitoring
  • Review balances across all accounts by entity and currency
  • Complete capital requirement sheets across required entities to monitor balances and check for unexpected movements
  • Identify accounts approaching minimum balance and set up top‑ups
  • Monitor incoming and outgoing settlement of funds
Payment and Transfer Support
  • Prepare treasury transfer instructions between accounts, entities and currencies for review and approval
  • Confirm funding is in place ahead of supplier payment runs, payroll and scheduled payment obligations
  • Monitor approved payments to confirm receipt and investigate delays, returns or rejections
  • Escalate payment issues to respective banks
Daily Reporting and Communication
  • Flag funding requirements, discrepancies and unresolved items to line manager and Treasury stakeholders
  • Respond to same day queries for urgent funding from Payment Operations and Financial Control
  • Retrieve statement and transaction reports weekly from HSBC, JPM and Modulr platforms
  • Confirm statements are complete, for the correct dates and cover all in‑scope accounts
Bank Reconciliations and Month‑End Activities
  • Be responsible for timely and accurate processing of corporate money transactions
  • Complete weekly and monthly bank reconciliations and related financial postings
  • Identify, resolve and elevate un‑reconciled items in a timely manner
  • Investigate and clear outstanding reconciling items
  • Prepare monthly journals for bank charges, interest, treasury sweep and intercompany movements
  • Prepare the monthly compliance certificate required under the revolving credit facility (RCF) agreement
Systems and Process Management
  • Maintain access to various banking platforms
  • Support current systems and processes
  • Keep process documentation updated
  • Share best practice and highlight improvements and efficiencies
  • Document treasury processes end to end, including checks, controls and escalation routes
Additional Support
  • Prepare weekly cashflow reporting for the CFO, including 13‑week cashflow forecasts
  • Support creation of internal and external reporting requirements
  • Support wider finance team on other month‑end tasks
  • Prepare reconciliations, samples and explanations for internal and external audit
Person Specification
  • 3-5 years' experience in a similar treasury or finance operations role, including hands‑on ownership of month‑end bank reconciliations
  • Able to independently own the end‑to‑end month‑end bank reconciliation process, investigating, resolving and clearing reconciling items without close supervision
  • Hands‑on experience across multiple banking systems and cash management platforms
  • Efficient in multi‑tasking, prioritising and managing workload
  • Self‑starter who is structured, organised and able to handle competing pressures
  • Ability to operate in a changing and dynamic environment with tight deadlines
  • Strong attention to detail and accuracy in financial data
  • Excellent communication and problem‑solving skills
  • Experience working with NetSuite or similar ERP system
  • Understanding of compliance and audit requirements in financial operations
  • Self‑motivated and hardworking with strong organisational skills
  • Able to critically evaluate and problem solve
  • Works at pace to deliver results
  • Tenacious, adaptable, resilient and positive
  • Focused on innovation and continuous improvement
  • Excellent team player in a high‑functioning environment
  • Commitment to accuracy and compliance
ModInclusion

Modulr is a leading fintech platform providing Payments Automation and enterprise payment solutions. We serve high‑growth businesses across multiple verticals including Lending, Travel, Banking, and Core Business Payments, operating across India, the UK, Europe, and beyond. Our mission is to simplify and automate payments for our customers, and we’re building a diverse, talented team to support that mission. Our people are central to our success, and we're committed to creating an inclusive workplace where everyone can thrive.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Treasury Operations Analyst | Cashflow & Reconciliations
Treasury Operations Analyst | Cashflow & Reconciliations

Modulr Finance Limited • Hinoba-an

On-site
PHP 792,000 - 1,187,000
Financial Accountant
Financial Accountant

International Association of Insurance Professionals (IAIP) • Hinoba-an

On-site
PHP 464,000 - 729,000
Deputy General Manager – Treasury & Working Capital Prominent Management Solutions
Deputy General Manager – Treasury & Working Capital Prominent Management Solutions

The Corporate Institute • Hinoba-an

On-site
PHP 1,800,000 - 3,000,000
Accounting Operations Lead
Accounting Operations Lead

Teciem • Hinoba-an

On-site
PHP 792,000 - 1,188,000
Treasury Liquidity Manager
Treasury Liquidity Manager

Paynamics • Philippines

Hybrid
PHP 1,200,000 - 2,400,000
Program Manager - Settlement Operations, Settlement Operations
Program Manager - Settlement Operations, Settlement Operations

Amazon • Hinoba-an

On-site
PHP 1,657,000 - 2,652,000
Staff Accountant
Staff Accountant

oCommerce • Hinoba-an

On-site
PHP 397,000 - 595,000
Competitive salary
Career growth opportunities
Modern Mumbai office
+2
Senior Accounts Receivable Analyst
Senior Accounts Receivable Analyst

Fivetran, Inc. • Hinoba-an

On-site
PHP 531,000 - 796,000
Medical insurance
Paid time off
Professional development
+3
Analyst - Treasury
Analyst - Treasury

McKinsey & Company, Inc. • Hinoba-an

On-site
PHP 1,194,000 - 2,122,000
Treasury Specialist
Treasury Specialist

Teciem • Hinoba-an

On-site
PHP 900,000 - 1,100,000