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CLM Analyst (Cash & Liquidity Management)

Gratitude Inc
220 Views
3 weeks ago

CLM Analyst (Cash & Liquidity Management)

2-4 Year(s)
Noida
Noida

Job Description

Key Skills

Stakeholder Management Cash Management banking operations Finance and Accounting Advanced Microsoft Excel

53 candidate(s) have already applied for this Job. Apply now




Job Title: CLM Analyst (Cash & Liquidity Management)

Location: Noida
Experience: 2–4 Years
Shift: 2nd Shift (Candidates should be comfortable working in the assigned shift.)


Role Overview

We are hiring a CLM (Cash & Liquidity Management) Analyst with experience in Finance & Accounting to support treasury operations, cash flow management, and banking activities. The ideal candidate should have hands-on experience in cash flow forecasting, fund transfers, remittances, and working capital management.


Educational Qualification

  • Minimum 15 years of regular, full-time education (10+2+3)

  • Bachelor's degree in Finance & Accounting or equivalent

  • B.Com / MBA (Finance) preferred


Must-Have Skills

  • 2–4 years of experience in Cash & Liquidity Management (CLM) or Treasury Operations

  • Cash Flow Forecasting and Cash Monitoring

  • Cash Management and Working Capital Management

  • Experience with Interbank Fund Transfers

  • Remittances and Repatriations

  • Banking Operations and Treasury Processes

  • Strong analytical and reporting skills

  • Good communication and stakeholder management skills


Good-to-Have Skills

  • FRM (Financial Risk Manager) Certification from GARP (Preferred)

  • Banking Relationship Management

  • Treasury and Risk Management knowledge

  • Advanced MS Excel skills

  • Ability to work effectively with cross-functional teams


Key Responsibilities

  • Support senior management and Finance & Treasury teams with financial analysis and reporting.

  • Prepare and maintain cash flow forecasts for inflows and outflows.

  • Monitor daily cash balances and ensure adequate liquidity.

  • Process interbank fund transfers and maintain transfer journals.

  • Schedule and process remittances and repatriations based on business requirements.

  • Maintain working capital to support operational and contingency requirements.

  • Ensure bank mandates are updated in line with company policies.

  • Coordinate with banking partners for treasury-related activities.

  • Ensure timely completion of assigned deliverables while maintaining accuracy and compliance.


Eligibility Criteria

  • 2–4 years of relevant experience in Treasury, Cash Management, or Cash & Liquidity Management.

  • Good understanding of banking operations and cash management processes.

  • Strong verbal and written communication skills.

  • Comfortable working in the 2nd Shift.


Important Notes

  • Ex-TCS employees are not eligible to apply.

  • PAN Card and Date of Birth (DOB) are mandatory for profile creation.    

  • Questionnaire link : https://myglit.com/lateral/cref/b5be890e61

Role

Financial Accountant

Timings

Rotational Shifts (Permanent)

Industry

BPO

Work Mode

Work from office

Process

Non-Voice

Functional Area

Accounting / Tax / Company Secretary / Audit

Note: Myglit doesn't charge any money from candidates. If you have been asked to pay money to get this job then report to us immediately at support@myglit.com.

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Recruiter - Gratitude Inc

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