Job description
Key Responsibilities
- Treasury & Daily Cash Operations Cash Visibility: Extract bank balances across all banks and entities to monitor account-level liquidity and circulate balance updates to relevant internal stakeholders to track domain-specific receipts and payments. Intercompany Transfers: Initiate fund transfers between company accounts via online banking platforms to maintain required operational cash levels across bank accounts. Liquidity Planning: Advise funding requirements to the Treasury Point of Contact (PoC) to support short-term liquidity planning. Banking Requests: Oversee the end-to-end issuance of Demand Drafts (DDs) through partner banks based on business requests.
- Accounts Payable & Payment Execution: End-to-end Payment Execution: Lead the complete disbursement lifecycle from Payment Batch staging to final Payment remittance Banking systems & protocols: Manage Host-to-Host (H2H) automated file transmissions utilizing standard ISO 20022 XML formats Governance & Control: Enforce multi-tier internal controls, including strict approval matrices, authorized bank signatory approvals, dual-control validations, and underlying document verification Statutory & Recurring Payments: Ensure 100% on-time processing and tracking of statutory liabilities (TDS, GST, PF, PT, ESI) and recurring operational obligations (store rent, electricity, deferred duties) via a centralized payments calendar. Payment Rejection Workflows: Investigate and resolve payment rejections, returned funds, bank trace inquiries, and payment discrepancies with internal teams and external banks. Remittance & Advisories: Prepare and distribute payment reference details and advice to relevant internal and external stakeholders. Security, Fraud Mitigation & Governance: Enforce call-back protocols for vendor bank account modifications, dual-authorization enforcement, and electronic banking portal management across MNC and local banking platforms.
- Accounting, Reconciliation, Compliance & Audit Support Posting & BRS Clearance: Complete accounting entries for specified payments and perform timely Bank Reconciliation Statement (BRS) clearances for open items. Compliance Maintenance: Maintain and update the Master Tracker of Payments, Internal Finance Policy-aligned Approval Matrices, Bank Signatories and signing limits, and Exceptional Payment regulatory logs. Audit Readiness: Support internal, statutory, and tax audits by archiving payment records (vouchers, advice, bank statements), maintaining historical data on bank signing limits and expense approval matrices, and preparing required audit schedules.
- Supply Chain Financing/ Reverse Factoring support Vendor Onboarding: Act as the primary First Point of Contact (PoC) to facilitate vendor onboarding onto the company’s Reverse Factoring program. RF Batch Staging: Batch stage vendor invoices for seamless uploading into selected RF banking portals for payment processing. Program Tracking: Monitor bank portals weekly and circulate updates on onboarded vendors, funded invoices, and unfunded invoices across banking partners. Monthly Reconciliation: Assist in the monthly status reconciliation of the overall Reverse Factoring program.
Requirements
Bachelor’s/Master’s degree in Accounting, Finance or Commerce. Experience: 3+ years of experience in Accounts Payable, Corporate Treasury Operations, or Banking Disbursements, preferably within MNCs or large-scale enterprise environments.
Benefits
Strong proficiency in enterprise ERP systems (SAP, Oracle, or equivalent) and corporate online banking platforms. Banking & Controls: Solid understanding of payment clearing mechanisms, banking settlement protocols, and core internal financial controls. Soft Skills Detail & Organization: Exceptional precision in high-volume data analysis and record keeping, paired with strong organizational skills to align leadership schedules for timely approvals.
Stakeholder Influence: Articulate communicator capable of driving internal teams for inputs and prompting bank signatories for approvals before payment cut-off times. Partner & Vendor Relations: Strong interpersonal skills to resolve vendor inquiries, liaise with commercial banking partners, and align cross-functional stakeholders.
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