Financial Analyst Senior Financial Analyst
Skills
About the role
Hybrid Mumbai 1–10 yrs Apply by Jul 31, 2026
Financial Analyst Senior Financial Analyst
Join Techila's team of Salesforce experts. We build senior-led transformations that deliver measurable outcomes for clients worldwide.
Experience
1–10 yrs
Employment Type
Full-time
Openings
1 position
Apply By
Jul 31, 2026
Required Skills
Corporate Treasury (Back Office)
Job Description
Corporate Treasury (Back Office) Financial Analyst / Senior Financial Analyst Mumbai · Full Time · Hybrid
About the Role We are looking for an experienced Corporate Treasury professional with strong exposure to treasury back-office operations to manage daily activities, ensure compliance, and support cash forecasting. The ideal candidate will possess hands-on experience in cash management, banking operations, and financial risk monitoring. Success in this role will be measured by effective management of treasury back-office activities and adherence to treasury policies and regulatory requirements.
Key Responsibilities
Manage daily treasury back-office activities and banking operations.
Monitor cash flow, liquidity positions, and fund movements across accounts.
Process and validate treasury transactions, payments, and settlements.
Perform bank reconciliations and ensure timely resolution of outstanding items.
Support cash forecasting and working capital management activities.
Coordinate with banks for account maintenance, payment processing, and treasury-related queries.
Ensure compliance with treasury policies, internal controls, and regulatory requirements.
Maintain treasury records, reports, and supporting documentation.
Assist in foreign exchange transactions, investments, and borrowing activities wherever applicable.
Support audits by providing treasury-related documentation and reports.
Prepare MIS reports related to cash positions, bank balances, and treasury operations.
Requirements
Possess 6-7 years of experience in Corporate Treasury (Back Office) operations.
Have strong understanding of Corporate Treasury Back Office Operations.
Experience in cash management, bank reconciliations, payments, and settlements.
Knowledge of liquidity management, treasury controls, and banking processes.
Good understanding of financial instruments and treasury reporting.
Proficiency in MS Excel and treasury-related reporting.
Strong analytical and stakeholder management skills.
What We Offer No information available.
At a Glance
Work ModeHybrid
EmploymentFull-time
Experience1–10 yrs
Openings1
LocationMumbai
DeadlineJul 31, 2026
[ Hiring process ]
What to expect
Four stages, typically completed within 2–3 weeks. We respect your time - every stage has a clear purpose and timely feedback.
STEP 0130 min
Screening Call
Introductory conversation with our talent team to understand your background and motivations.
STEP 0260–90 min
Technical Round
Live problem-solving with a senior architect on Salesforce design, integrations, or domain depth.
STEP 0345 min
Culture Fit
Conversation with practice leadership covering working style, ownership, and how you collaborate.
STEP 04Within 5 days
Offer
Formal offer with full compensation breakdown, start date, and onboarding plan.
Questions about this role
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