Company

Automotive

Manager-TreasurySettlements

₹22–35L ~AI est. Bangalore, Karnataka, India FULL TIME
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Manager candidates.

The Brief

“Manager-Treasury Settlements. Skills: Treasury Settlements, Financial Instruments, Settlement process. Ensure formal/plausibility check of captured deal data. Match loan agreements and captured deal data”

What You'll Achieve.

Timely and accurate treasury/ financial settlements

Industry & Context.

Automotive
Problems you'll solve

Analysis of unmatched confirmations; Categorization of differences; Review of differences

What They're Looking For.

Must Have

University degree in Finance / Controlling / Business Administration or equivalent experience, 10-15 years of Working experience in Treasury, Experience in Settlements

Nice to Have

CTP or other similar Certification in Treasury

What You'll Do.

Ensure formal/plausibility check of captured deal data

Match loan agreements and captured deal data

Ensure sending out of confirmations

Match sent out confirmations with counter-confirmations

Ensure analysis of unmatched confirmations

Categorize differences

Review differences with internal/external process partners

Monitor financial contracts

Adjust standard settlement instructions

Conduct reconfirmation process

Month end fixing and settlement of commodities

Release financial contracts for bookings and payments

Ensure timely and accurate treasury/ financial settlements

Handle exceptional settlements

Provide accurate static data of all countries

Ensure proper setting up of SSI details

Verify and confirm Treasury deals

Ensure filing and proper record-keeping of relevant documents

Log exceptions/ deviations for audit purposes

Support yearly external audit confirmations

Support in SWIFT implementation and updation

Support in UAT testing

Support ICS testing for relevant settlement control

Generate EOD reports and submit to entities

Ensure compliance with financial market regulations

Implement regulatory requirements

Assure external portfolio reconciliation

Implement risk mitigation techniques

How You'll Work.

Team & Collaboration

Internal/ external trading partners; Internal/external process partners; Entities

Communication Scope

Written English; Spoken English; Written German; Spoken German

Process & Methodology

UAT testing

Full Job Description

1. Treasury /Financial Settlements through GTS Ensure formal/plausibility check of captured deal data (correctness and completeness) as well as matching of loan agreements and captured deal data (formal check: completeness of data per instrument; plausibility check: correctness of data) Ensure sending out of confirmations to internal/ external trading partners (SWIFT/ Email) and matching of sent out confirmations with counter-confirmations of external trading partners. Ensure analysis of unmatched confirmations, categorization of differences and review of differences with internal/external process partners with regard to a common understanding of contend that has been agreed. Ensure monitoring of financial contracts incl. loan agreements (maturity dates for nominal/interest payments, Fixing in case of floating interest rates for deals with internal/external trading partners). Ensure adjustment of standard settlement instructions in case of changes and conduction of reconfirmation process as well as month end fixing and settlement of commodities. Ensure release of financial contracts to be ready for bookings and payments. Ensure timely and accurate treasury/ financial settlements in accordance with pre-approved SSI and LoAS within bank cutoff time for various financial instruments and IC Transfers and subsidiary payments FX, MM, IR, CCIRS Derivative and issuances like CP and EMTN End to end responsibility, incl exceptional handling Provide accurate static data of all countries as applicable and respective counterparties (settlement instructions, confirmation contacts, etc.) Ensure proper setting up of SSI details from banks. Responsible for verification and confirmation of Treasury deals in Treasury systems   2. Documentation of Settlement Process Responsible for ensuring filing and proper record-keeping of relevant documents and to log exceptions/ deviations for audit purposes & management review Responsible for statutory audit support for all entities under scope o

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