Treasury Back Office Analyst

Galderma

Mumbai, INonsitePosted Jul 6, 2026
Posting intelligenceActively listedReposted 4×, possible evergreen/ghost posting

About the role

Galderma is the emerging pure-play dermatology category leader, present in approximately 90 countries. We deliver an innovative, science-based portfolio of premium flagship brands and services that span the full spectrum of the fast-growing dermatology market through Injectable Aesthetics, Dermatological Skincare and Therapeutic Dermatology. Since our foundation in 1981, we have dedicated our focus and passion to the human body's largest organ - the skin - meeting individual consumer and patient needs with superior outcomes in partnership with healthcare professionals. Because we understand that the skin, we are in shapes our lives, we are advancing dermatology for every skin story.

We look for people who focus on getting results, embrace learning and bring a positive energy. They must combine initiative with a sense of teamwork and collaboration. Above all, they must be passionate about doing something meaningful for consumers, patients, and the healthcare professionals we serve every day. We aim to empower each employee and promote their personal growth while ensuring business needs are met now and into the future. Across our company, we embrace diversity and respect the dignity, privacy, and personal rights of every employee.

At Galderma, we actively give our teams reasons to believe in our bold ambition to become the leading dermatology company in the world. With us, you have the ultimate opportunity to gain new and challenging work experiences and create an unparalleled, direct impact.

Position: Back-Office Analyst

Reporting to: Deputy Treasurer

Location: Mumbai or Hyderabad, India

Role Overview:

As a Treasury Back-Office Analyst, you will support the execution, control, and reconciliation of treasury operations across the Group. You will ensure timely and accurate confirmation, settlement, and monitoring of financial transactions, while maintaining strong control over treasury systems and cash processes. You will partner closely with Front Office, Middle Office, Accounting, and external partners to ensure operational excellence, compliance, and data integrity within the treasury function.

Key Responsibilities

Transaction Processing & Settlement

Perform back-office activities, including validation, confirmation and settlement of transactions using treasury systems (FIS, Finastra, 360T, etc.)

Execute settlement of treasury operations (FX, intercompany loans, deposits, derivatives) via treasury systems and manual payments

Ensure all transactions are processed accurately and within agreed timelines

Reconciliation & Controls

Perform daily reconciliation of treasury transactions against bank statements and TMS records

Review and validate treasury transaction listings on a daily basis

Monitor and perform key control checks (e.g. 360T reports, Finastra reports)

Investigate and resolve discrepancies in a timely manner

Static Data Management

Process and reconcile changes in static data (e.g. SSIs, bank accounts, counterparties)

Initiate and review updates to static data in treasury systems

Ensure data accuracy, completeness, and compliance with internal control requirements

Cash & Liquidity Support (incl. intra-Group funding)

Support the update and maintenance of FX, intercompany and payment forecasts

Consolidate and validate weekly cash forecasts from affiliates

Assist in monitoring liquidity positions and short-term funding requirements

Support intra-group funding operations, including cash pooling and intercompany loans

Calculate and validate interest on cash pool balances, intercompany loans and other intra-group funding arrangements in line with agreed methodologies and transfer pricing policies

Banking & Fees Management

Support the team with bank administration processes

Monitor bank fees and charges across accounts

Follow up on discrepancies and initiate claims with banks where applicable

Support optimization of banking costs and fee transparency

KYC & Compliance

Process and coordinate KYC requests with banks and internal stakeholders

Ensure documentation is complete, accurate, and up to date

Support compliance with internal policies and external regulatory requirements

Controls & Risk Management

Ensure adherence to treasury policies, procedures, and internal control frameworks

Maintain strong segregation of duties between Front Office, Middle Office, and Back Office

Support audit requests and provide documentation for internal and external audits

Qualifications

Education & Certifications

Bachelor’s or Master’s degree in Finance, Accounting, Business Administration or related field

Experience

3–6 years of experience in treasury operations-, finance- or banking-back office

Experience working with treasury management systems – Prior experience with FIS is a strong plus

Exposure to multinational environments and intercompany transactions

Core Competencies

Technical Expertise

IT savvy with ideally experience in TMS platforms and banking infrastructure

Ideally strong understanding of treasury operations (FX, loans, cash management settlements)

Attention to Detail & Control Mindset

High level of accuracy in processing transactions and reconciliations

Strong focus on controls, compliance, and data integrity

Analytical & Problem Solving

Ability to identify discrepancies and resolve issues efficiently

Structured and methodical approach to tasks

Communication & Collaboration

Clear and professional communication skills in English

Ability to work effectively with global stakeholders

Adaptability & Execution

Ability to manage multiple deadlines in a fast-paced environment

Proactive, reliable, and solution-oriented mindset

Questions about this role

Click "Apply with AI Applyd" above. We auto-fill the application from your resume and answer screening questions in seconds. No copy and paste, no juggling tabs.

Compensation for Finance roles in India varies widely by seniority, employer size, and remote vs onsite arrangement. Check the salary range on this listing when published, or browse our Finance hub for India medians across recent openings.

Most applications complete in under 90 seconds. You can track the status in your dashboard and watch the screenshot proof land the moment the application submits.

AI Applyd supports Greenhouse, Lever, Ashby, Workday, iCIMS, SmartRecruiters, Personio, Teamtailor and other major ATS platforms. If we can submit through the platform, we do.

Want AI Applyd to auto-apply to roles like this?

We tailor your resume per posting, fill the forms, and track replies for you.