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Treasury & Cash Management SME (Oracle ERP)

Gratitude Inc
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1 week ago

Treasury & Cash Management SME (Oracle ERP)

5-10 Year(s)
Hyderabad
Hyderabad

Job Description

Key Skills

Power BI Advanced Excel Cash Management Oracle ERP Cash Flow Forecasting & Capital Funding Bank Relationship Management & System Controls

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

Treasury & Cash Management SME – Oracle ERP

Location: Hyderabad
Experience: 5–10 Years
Shift: Night Shift

Job Summary

We are looking for a Treasury & Cash Management SME with strong corporate treasury experience and hands-on expertise in Oracle ERP. The role will be responsible for day-to-day treasury operations, liquidity management, cash forecasting, bank relationship management, and optimization of cash management processes.

Education

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

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field

  • CTP, CPA, ACCA, CA, or CMA certification is highly preferred

Must-Have Skills

  • Treasury Operations & Cash Management

  • Cash Flow Forecasting & Liquidity Management

  • Capital Funding & Working Capital Management

  • Bank Relationship Management

  • Oracle ERP / Oracle Cloud / Fusion / E-Business Suite

  • Treasury & Cash Management Modules

  • Accounting, Controls & Audit Compliance

  • Liquidity Analysis

  • Banking & Payment Processes

Good-to-Have Skills

  • SWIFT, Fedwire, CHIPS, SEPA

  • BAI2, MT940, XML / ISO 20022

  • Hyperion

  • Power BI

  • Advanced MS Excel

  • Treasury process automation and system controls

Key Responsibilities

  • Manage daily treasury operations, cash visibility, and liquidity requirements.

  • Prepare and monitor short-term cash flow forecasts and funding requirements.

  • Manage bank relationships and banking transactions.

  • Ensure accurate cash positioning and liquidity analysis.

  • Own and support Oracle ERP Treasury and Cash Management processes.

  • Drive automation and process improvements within treasury operations.

  • Ensure compliance with accounting policies, internal controls, and audit requirements.

  • Monitor working capital and identify opportunities to optimize cash flows.

  • Support global payment and clearing processes.

  • Coordinate with internal finance teams, banks, and other stakeholders to resolve treasury-related issues.

Eligibility

  • 5–10 years of relevant experience in Treasury, Cash Management, Liquidity Management, or related finance operations.

  • Strong hands-on experience with Oracle ERP Treasury/Cash Management.

  • Candidates with strong corporate treasury and banking infrastructure knowledge are preferred.

Important

  • Ex-TCS employees are not eligible to apply.
  • PAN and DOB are required for profile creation.

Role

Financial Analyst

Timings

Night Shift (Permanent)

Industry

Banking / Financial Services / Broking

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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Toukeerahmed Attar

Recruiter - Gratitude Inc

NA, india

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