Treasury Cash Management Business Analyst (Onsite)

Infosys Limited

Atlanta (GA)

On-site

USD 100,000 - 150,000

Full time

14 days+
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Benefits offered by this job

Disability insurance
Health Reimbursement Accounts
Insurance (Accident, Critical Illness,
Hospital Indemnity
401(k) plan

Job summary

Infosys Financial Services unit seeks a treasury analyst to analyze client processes, optimize cash management, and map end‑to‑end data flows across Accounts Payable, Receivable, and liquidity planning. You will document SOPs and collaborate with technical teams to align solutions with industry standards.

This 100% onsite role requires strong data analysis, SQL proficiency, and the ability to benchmark third‑party products, support system integration, and drive process improvements within a

Qualifications

  • Bachelor’s degree or foreign equivalent required; three years of progressive experience may substitute per policy.
  • Position may require relocation and/or travel to work/project location.
  • Candidates authorized to work in the United States without employer sponsorship are welcome to apply; Infosys cannot sponsor.

Responsibilities

  • Analyze client business processes to identify optimization opportunities and align with industry standards.
  • Facilitate benchmarking studies, coordinating with stakeholders to align solution performance with domain insights.
  • Collaborate with technical teams and document system customizations, drafting SOPs and workflows that meet functional requirements.
  • Conduct in-depth research on third‑party products, providing comparative analysis of features, costs, and scalability.
  • Coordinate implementation of solutions addressing setup and integration, and support SOP development to ensure stability post‑implementation.

Skills

Accounts Payable
Accounts Receivable
Cash Management
Forex
Liquidity Management
Data Analysis

Education

Bachelor's degree

Tools

SQL

Job description

Infosys Financial Services unit seeks a treasury analyst to analyze client processes, optimize cash management, and map end‑to‑end data flows across Accounts Payable, Receivable, and liquidity planning. You will document SOPs and collaborate with technical teams to align solutions with industry standards.

This 100% onsite role requires strong data analysis, SQL proficiency, and the ability to benchmark third‑party products, support system integration, and drive process improvements within a

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