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Treasury jobs

476 results

Last updated

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently
3

Global Treasury Analyst

3M

India · 1-2 yrs

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Treasury Analyst

Cubic

Madhavaram, Telangana, India

TreasuryRecently

Senior Analyst, Treasury Operations

remitly

Bengaluru, Karnataka, India

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Senior Analyst, Treasury Operations

remitly

Bengaluru, Karnataka, India

TreasuryRecently
3

Global Treasury Analyst

3M

India · 1-2 yrs

TreasuryRecently

Senior Analyst, Treasury Operations

remitly

Bengaluru, Karnataka, India

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Treasury Analyst

Tata Consultancy Services Limited

Kolkata, West Bengal, India

TreasuryRecently

Treasury Analyst(AMEA)

Barry Callebaut Global Business Services India

Hyderabad, Telangana, India · 3-5 yrs

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Treasury Analyst(AMEA)

Barry Callebaut Global Business Services India

Hyderabad, Telangana, India · 3-5 yrs

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

Quantitative Analyst AVP - Treasury

Barclays

Mumbai, Maharashtra, India

TreasuryRecently

About Treasury jobs in India

What is the role of a Treasury Analyst?

A Treasury Analyst manages a company's liquidity, cash flow, funding, and financial risk (FX, interest rate). Responsibilities include daily cash position management, bank relationship management, investment of surplus cash, hedging strategies, and preparing treasury reports for senior management.