Treasury Operations Specialist
Why This Role Stands Out
This contract role offers a fantastic opportunity to leverage your SAP and treasury operations expertise within a global organization, with the flexibility of a hybrid work model. You'll thrive here if you have a strong background in bank reconciliations and electronic bank statement processing, and are eager to contribute to a dynamic finance team. Apply today to gain valuable experience and expand your professional network!
Quick Overview
Job Description
Temporary Contractor Senior Treasury Operations Specialist (SAP)
- Pune, India
- 5-Month Contract
- European Shift
At Integrated Resources, Inc. (IRI), we've been connecting exceptional talent with leading global organizations since 1996. As a trusted staffing partner specializing in IT, Life Sciences, Healthcare, and Professional Services, we are committed to helping professionals grow their careers while delivering high-quality talent solutions to our clients
We are currently seeking an experienced Treasury Operations Specialist (SAP) to join one of our prestigious clients in Pune
Key Responsibilities:
- Process and post daily Electronic Bank Statements (EBS) across multiple legal entities in SAP
- Perform bank reconciliations; investigate and clear unreconciled and in-transit items
- Handle returned and failed payment processing and follow-up
- Maintain bank GL and clearing account housekeeping
- Escalate and resolve complex reconciling items in coordination with Treasury and Accounting teams
- Ensure compliance with internal controls and company policies
- Support month-end close activities including bank reconciliation reporting
- Assist with internal and external audits related to bank and treasury transactions
- Maintain and update process documentation and SOPs
Qualifications:
- Bachelor's degree in Accounting, Finance, or a related field
- 8 to 10 years of experience in bank reconciliation, treasury operations, or general accounting, preferably within a Shared Service Center environment
- Fluent in English (written and verbal) - essential for daily collaboration with European stakeholders
- Strong working knowledge of SAP (FI module; Electronic Bank Statement processing)
- Experience with automated posting rules and EBS configuration is highly desirable
- Solid understanding of cash management and reconciliation best practices
- Excellent analytical and investigative skills
- High attention to detail and ability to manage high transaction volumes
- Proficiency in Microsoft Office, with advanced Excel skills
- Additional European language skills are a plus
If you're looking for your next opportunity with a global organization, we'd love to connect with you!
Skills
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