Treasury Analyst I
Bangalore, India, 560064
Who we are
The opportunity
The Treasury Analyst role includes technical or transactional responsibilities - primarily in payments, cash and liquidity management, inter-company funding, cash forecast and banking – as well as more strategic and business partnering requirements.
How you’ll spend your day
- Supporting day-to-day treasury operation activities, including preparing daily cash position, treasury accounting entries, investigations and monitoring payments process initiated by Operations
- Tracking and settle inter-company receivables and payables and manage activities across in-house banking
- Supporting FX conversions and derivatives operation activities.
- Playing an active role in promoting an advanced risk management culture, including: awareness of the various foreign exchange exposures, ensuring timely & accurate booking of FX exposures (performed by Accounting), awareness of translation differences on cash, etc.
- Preparing and supporting Guarantees and Letter of Credits when needed, according to the relevant policy The implementation of, and compliance with, all Treasury Policies & guidelines
- Support and lead of complex and international ad-hoc projects and ad-hoc reporting
- Support systems implementation and modification to existing system and ensure timely delivery of all system testing and validation.
- Process documentations and certifications – will have to ensure that all process are appropriately documented and periodically certified by team members on regular basis.
- Working on cash forecasting and working capital projects
Your experience and qualifications
- CA Inter with 0-1 Year experience in Finance & accounts
- Well versed with latest trends, technology & best practices in the industry
- Experience in fast-paced multinational matrix organization
- Strong change management, communication and influencing skills
- Fluent verbal and written communication in English, other language is a plus
- Hands-on and proactive; strong organizational skills
- Results driven and service oriented to internal and external customers
- Ability to work effectively under pressure
- Excellent collaboration with colleagues within the local organization and with the colleagues of the global business service to support the overall Finance department’s goals and objectives
- Flexible and able to work in a changing environment
- Strong focus on improvement opportunities
- Want to work in a new (to be) established team
Reports To
Associate Director, Treasury
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