The Opportunity:
Avantor is looking for a dynamic, forward-thinking, and experienced Analyst with solid experience to manage various cash disbursement and treasury-related activities within the Corporate Treasury team.
This role will be a full-time position based out of our Coimbatore office. Sr Treasury Analyst manages daily treasury operations, oversees cash management, and analyzes financial data to support strategic financial decisions. They are responsible for tasks such as cash flow forecasting, bank account administration, and ensuring compliance with regulations. Cash management responsibilities revolve around overseeing a company's financial resources to ensure optimal liquidity, efficiency, and risk mitigation. This includes tasks like managing cash flow, optimizing bank accounts, forecasting cash needs, and ensuring compliance with financial regulations.
What we're looking for
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