Scan your resume against ATS criteria for this Treasury Analyst role at Scrabble & Jigsaw.
# Treasury Analyst / Senior Treasury Analyst ## Company Overview *Not specified* ## Job Summary We are seeking an **experienced Treasury Analyst / Senior Treasury Analyst** with **5–8 years of hands-on expertise** in corporate treasury, banking operations, and financial analysis. The incumbent will independently manage the full spectrum of treasury functions — from WCDL and SBLC operations to cash flow forecasting, bank reconciliation statements (BRS), audit support, and Management Information Systems (MIS) — in a high-velocity e-commerce or retail environment. At the Senior Analyst level, the role demands strategic ownership of treasury reporting, process optimization, banking relationship management, and cross-functional leadership, with the ability to drive treasury efficiency at scale. ## Responsibilities - **Banking operations oversight**: Independently oversee and execute daily banking transactions, including vendor payments, marketplace settlements, statutory dues, employee reimbursements, and interbank fund movements across multiple accounts and banking relationships. - **WCDL lifecycle management**: Own the complete WCDL cycle, including drawdown requests, utilization tracking, repayment scheduling, interest computation and servicing, limit renewals, and bank documentation; ensure zero defaults or missed obligations. - **SBLC end-to-end coordination**: Manage the issuance, renewal, amendment, and retirement of Standby Letters of Credit (SBLC); maintain a complete document register and coordinate proactively with banks on compliance and expiry timelines. - **Bank reconciliation — BRS**: Own daily and monthly BRS preparation across all bank accounts; establish systematic resolution workflows for open items; drive a zero-outstanding policy within agreed Service Level Agreement (SLA) timelines. - **Cash flow forecasting & fund planning**: Build and maintain short-term (weekly) and medium-term (monthly/quarterly) cash flow models; monitor daily liquidity position, anticipate funding gaps, and recommend fund deployment or borrowing actions. - **Accounting & Tally ERP**: Ensure accurate and timely passing of all treasury-related entries, including journal vouchers, payment vouchers, contra entries, and period-end adjustments in Tally ERP with full supporting documentation. - **MIS & treasury analytics**: Design, publish, and continuously improve weekly and monthly treasury MIS covering fund positions, payment summaries, WCDL utilization, interest cost trends, and variance-to-plan analysis for Finance leadership. - **Audit management**: Lead end-to-end preparation of treasury audit schedules and supporting evidence for internal, statutory, and tax audits; proactively close prior-period observations and drive zero-finding outcomes. - **Compliance & risk controls**: Maintain strict adherence to internal treasury policies, banking covenants, Reserve Bank of India (RBI) guidelines, and statutory payment timelines; flag compliance risks proactively to the Finance Head. - **Banking & stakeholder management**: Serve as the primary treasury interface with banks for limit utilizations, product queries, dispute resolution, and documentation; coordinate seamlessly with Accounts Payable (AP), tax, legal, and marketplace finance teams. - **Process improvement**: Identify inefficiencies in treasury workflows, propose automation or process re-engineering initiatives, and lead implementation to reduce manual effort, turnaround time (TAT), and reconciliation errors. ## Qualifications - **Educational Qualifications**: Bachelor's degree in Commerce, Finance, or Accounting; MBA Finance / Chartered Accountant (CA) Inter / Cost and Management Accountant (CMA) Inter preferred. - **Key Skills**: - Corporate treasury management - Banking operations - Financial analysis - Cash flow forecasting - Compliance and risk management - Audit management - Proficient in Tally ERP - Strong analytical and problem-solving skills ## Preferred Skills - Experience in e-commerce or retail treasury functions. - Knowledge of banking products and compliance regulations. - Familiarity with treasury management systems and software automation. ## Experience - 5–8 years of relevant experience in corporate treasury, banking operations, and financial analysis. ## Environment *Not specified* ## Salary *Not specified* ## Growth Opportunities *Not specified* ## Benefits *Not specified*
How to apply for Treasury Analyst at Scrabble & Jigsaw?
Click the "Apply on Company Website" button on this page to submit your application directly on the employer's official portal.
What is the salary for this role?
Salary details will be discussed during the interview.
What experience is required?
5+ years of experience is required.
Is this position still open?
Yes, currently active and accepting applications.
Explore related active roles in finance
Treasury Analyst
Scrabble & Jigsaw · Bangalore Urban