Oracle Treasury is hiring a strong individual-contributor Analyst to support day-to-day treasury operations while driving process improvement and other enhancement projects as assigned by Treasury leadership. The role will manage daily liquidity activities (cash positioning, bank balance monitoring, funding readiness) and maintain global banking governance (documentation, signatories, account openings/closures). The Analyst will also support broader treasury activities as needed, including cash management and acquisition integration, debt-related support, banking and credit administration, investments support, international treasury/foreign exchange coordination, and treasury audit and controls. The role includes maintaining accurate data across Oracle's treasury management system and related platforms, supporting cash forecasting, and overseeing bank connectivity and automation for payments and statement retrieval. In addition, the Analyst will generate and reconcile key treasury/finance reports (daily cash, bank reconciliations, GL tie-outs), coordinate audit and banking compliance items (including bank confirmations), and proactively identify opportunities to automate and standardize workflows to strengthen controls, reduce manual effort, and improve scalability.
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