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Senior Analyst - Treasury

Nium

MumbaiFull-timeFinance

Key Responsibilities:

                 BAU Operations Support

  • Support Treasury Operations leads in the execution of daily BAU activities, ensuring timely and accurate processing across all functions.
  • Manage end-to-end funding activities across multiple currency (CCY) corridors, including initiating, monitoring, and confirming fund transfers.
  • Execute and oversee settlements across various CCY pairs, ensuring accuracy, timeliness, and adherence to internal controls and cut-off times.
  • Monitor intraday liquidity positions and escalate potential shortfalls or anomalies to the relevant leads promptly.
  • Liaise with counterparties, custodians, and internal stakeholders to resolve settlement queries and discrepancies efficiently.
  • Maintain accurate records of all transactions and ensure appropriate documentation is in place for audit and compliance purposes.
  •              Data Analysis & Reporting

  • Support the broader Treasury organization with data analysis, including liquidity analysis, FX exposure reporting, and cash flow forecasting.
  • Develop, maintain, and enhance reporting tools, dashboards, and MI packs to provide timely and accurate insights to senior stakeholders.
  • Identify trends, anomalies, and operational inefficiencies through data analysis and present findings with actionable recommendations.
  • Assist in month-end and period-end reporting processes, ensuring data integrity and consistency across systems.

    Process Improvement & Controls

  • Contribute to the identification and implementation of process improvements that enhance operational efficiency and reduce risk.
  • Support the documentation and maintenance of operational procedures, runbooks, and control frameworks.
  • Assist in the onboarding of new CCY corridors or counterparties, including operational readiness assessment and testing.
  • Participate in projects and initiatives led by the Treasury Operations or wider Treasury team as required.

    Stakeholder Engagement

  • Act as a reliable point of contact for internal stakeholders across Finance, Risk, Compliance, and Technology teams.
  • Collaborate with the Treasury Operations leads to ensure alignment on priorities, operational tasks, and escalation paths.
  • Support training and knowledge-sharing with junior team members as the team grows.

Requirements:

  • 3–6 years of experience in Treasury Operations, Payments Operations, or a related financial services role.
  • Experience within a fintech, e-money institution (EMI), or Payment Institution (PI) environment.
  • Demonstrable hands-on experience with funding and settlement processes across multiple currency corridors.
  • Strong data analysis skills with proficiency in Excel and/or other analytical tools (e.g. SQL, Python, Tableau, Power BI) preferred.
  • Solid understanding of FX markets, liquidity management, and correspondent banking arrangements.
  • Familiarity with Treasury Management Systems (TMS) and payment platforms.
  • Excellent attention to detail with the ability to work accurately under time pressure.
  • Strong communication skills with the ability to present complex information clearly to stakeholders at varying levels of seniority.
  • Demonstrated ability to work autonomously and proactively manage competing priorities in a fast-paced environment.
  • Exposure to multi-entity or multi-jurisdiction Treasury operations.
  • Professional qualification such as ACT (Association of Corporate Treasurers) Certificate or Diploma in Treasury, CFA, or equivalent.
  • Familiarity with regulatory requirements applicable to treasury and payments operations (e.g. PSD2, FCA requirements).

This listing was aggregated from a public company job board. ResuBuild is not the employer. Always review the original posting before applying.

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