Treasury Analysts

Hitachi Energy

Bengaluru, India

#JID3-130798

Position summary

al cash management transactions from different banking portals.

  • Assist with account opening, product or service documentation.

  • Settlement operations of fixed income, Derivatives and FX deals.

  • FX Management and Reporting.

  • Ensure compliance with Global Treasury internal control guidelines and policies; manage audit requests and implement process improvements.

  • Working on audit requests within own scope of responsibility.

  • Analysis and prepare reports related to FX risk management, cash management & bank access management in given timeframe.

  • Assist in resolution of audit queries and related activities at a global level.

  • Support on ad-hoc requests / projects from Global Treasury Operations.

  • Living Hitachi Energy's core values of safety and integrity, which means taking responsibility for your own actions while caring for your colleagues and the business.

Your Background

  • Bachelor's or Masters in Finance/Controlling Shared service center/HUB experience or fresh university graduate with Finance/controlling/treasury field of interest and study.

  • 3 to 5 years of experience or relevant finance/controlling background.

  • Good spoken and written English skills (additional foreign languages used by key Hitachi Energy locations considered as an advantage).

  • Good discipline for financial, routine tasks and ability to learn new skills via tailored on the job training.

  • Knowledge of and familiarity with standard IS collaboration and communication tools (outlook, office365, CSS workflow tool) as well as good excel skills.

  • Proficiency in both spoken & written English language is required.

Apply now