for restricted currency markets in APAC region. We are looking for a top caliber Treasury Analyst to execute Cash Management and FX... for the following * Daily Cash and FX management - Monitoring bank accounts of APAC Markets and moving cash in the various...
tasks in Infrastructure & Cash Management, Corporate Finance, Treasury Controlling & Reporting, and Market Risk & Liquidity... Management. Treasury back and middle office administration Verification of treasury transactions, confirmation of FX trades...
. The role involves tasks in Infrastructure & Cash Management, Corporate Finance, Treasury Controlling & Reporting... Treasury team in Gurugram, working closely with a two-person team and reporting to the Global Treasury Manager in Switzerland...