Über diese Senior Treasury Analyst Stelle bei Dentsu
Job Description:
Key responsibilities:
Cash Management and Forecasting
• Prepare and distribute daily, 4-day, and full-month U.S. cash forecasts to Group Treasury and UK Treasury.
• Monitor receipts versus forecast, ACH run estimates, and short-term liquidity gaps daily.
• Escalate liquidity risks, overdraft exposure, and timing mismatches — particularly around month-end and large media payment runs.
• Provide intraday forecast updates during high-variance periods as warranted by market or operational conditions.
• Maintain and update the master cash forecast file (USA – 2026 Cash Forecast.xlsx) and supporting models.
Payments and Funding
• Confirm funding availability for urgent and high-value payments including media, payroll, tax, and ad-hoc disbursements.
• Investigate and resolve ACH debit returns, rejected vendor payments, and value-date discrepancies in coordination with JPMorgan Chase and Accounts Payable.
• Approve and support manual wire payments and high-value disbursements; provide transaction traces, UETRs, and bank reference documentation.
• Serve as the backup Treasury contract for same-day payroll and statutory wires (401k, benefits), ensuring timely funding confirmation.
Banking and Liquidity Facilities
• Administer JPMorgan Chase portal security including SADF form submissions for user access changes, read-only vs. payment access setup, and additional administrator management.
• Coordinate overdraft and sweep facility renewals (e.g., Eaton Gate LLC), working with Legal and authorized signatories through JPM submission.
• Maintain U.S. bank account documentation, account listings, and support new account requests including foreign currency account rationale and approvals.
Trade Credit Insurance
• Coordinate day-to-day U.S. trade credit insurance requests and coverage changes with Allianz Trade and internal Credit Management teams.
• Conduct monthly reviews of ageing and exceed reports, appeals listings, and third-party insurance reports to ensure adequate client coverage.
• Monitor overdue aging buckets for Non-Payment Notification (NPN) eligibility and coordinate filing requirements with business lines.
• Relay insurer status to stakeholders; Credit Management maintains documentation of approval authority for coverage decisions or risk acceptance.
Process Improvement and Transformation
• Identify system limitations and data quality gaps in current forecasting models; contribute to solution design and testing.
• Support bi-weekly Treasury / Operations / AP check-ins and cross-functional coordination with AR, Media Finance, and banking partners.
• Document processes, workarounds, and institutional knowledge to support operational continuity and SOX/ICF compliance.
Decision Framework and Request Routing
• Apply a standardized triage checklist to all inbound requests: classify, verify required information, confirm Treasury ownership, assess liquidity and urgency, and close the loop with a named action owner.
Knowledge and Qualifications
Qualifications
• Bachelor's or Master's Degree in Commerce, Finance, Accounting, Business Administration, Economics, ICWAI/CMA, CTP, MBA, or Semi-Qualified Chartered Accountant.
• 7–9 years of experience in corporate treasury, cash management, or related finance functions.
• Direct experience with daily cash forecasting, payment operations, and bank portal administration.
• Experience with trade credit insurance processes and insurer coordination is a strong plus.
• Prior exposure to a multinational or holding-company environment with intercompany funding structures preferred.
Systems and Tools
• JPMorgan Chase Portal — cash positions, loan interest reporting, SADF administration, and payment investigations.
• Microsoft Dynamics 365 (D365) ERP integration for payables, receivables, and intercompany accounting.
• Power BI — AR aging reports, cash forecasting dashboards, and variance analysis.
• Coupa Treasury (Bellin) treasury management system for approval, routing, and reporting.
• FastPay — payment execution and disbursement processing.
• Microsoft Teams — daily coordination with Group Treasury, AP, and cross-functional partners.
Core Competencies
• Cash Forecasting Accuracy — the ability to manage multi-horizon forecasts and reduce variance through disciplined data analysis - a methodical approach to payment triage and escalation.
• Group Treasury Communication — clear, decisive communication with internal teams, banking partners, and insurers.
• Problem Solving — capacity to investigate ACH returns, reconcile intercompany balances, and resolve value-date discrepancies under time pressure.
• Process Orientation — commitment to documenting procedures, eliminating undocumented workarounds, and maintaining SOX/ICF compliance.
• Judgment and Prioritization — ability to distinguish Treasury-owned decisions (risk and timing) from execution tasks that belong to partner functions.
• Route requests appropriately: funding confirmation to Treasury, payment execution to AP, bank investigations to JPMorgan, credit approvals to Credit Management.
• Push back on requests that are execution- or chase-only and do not require a Treasury risk or timing decision.
Location:
BangaloreBrand:
BcoeTime Type:
Full timeContract Type:
Permanent