
Senior Treasury Business Intelligence Analyst
Remote
full-time
Posted on:
Location Type: Remote
Location: India
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Salary
💰 €56,500 - €63,600 per year
Job Level
About the role
- Drive the execution and automation of the back-office.
- Automation of Liquidity Management: Implement advanced analytical tools and automation solutions to enhance liquidity forecasting and management.
- Innovative Cash Forecasting Techniques: Leverage cutting-edge technology such as predictive analytics and AI to refine cash forecasting models.
- Banking Relations: Effectively partner with external relationship banks, consultants and advisors to successfully execute treasury operations and strategy.
- Process Innovation for Treasury Operations: Drive the adoption of process automation tools.
- Country operationalizations: lead or assist with the country operationalizations.
- Advanced Reporting Tools: Utilize business intelligence platforms to automate cash position reporting and analysis.
- Investment & Debt Activities: Collaborate with the treasury team on short-term investments or borrowing.
- Risk Management: Monitor and manage risks related to cash positions.
- Leveraging New Technologies for System Optimization: Continually evaluate and adopt new technologies.
- Project Involvement: Participate in or lead projects related to cash management.
- Cross-Functional Collaboration: Work with various departments to gather data and understand cash flow implications.
- Training and support for new team members: Train and support new team members joining the treasury function.
Requirements
- Bachelor’s or Master’s degree in Finance, Economics, Data Science, Business Analytics, or a related field.
- Relevant experience in Finance, Analytics, or related roles; prior experience in Corporate Treasury or Cash Management is beneficial but not required.
- Strong understanding of liquidity, cash flows, and financial data in a multi-entity environment, with the ability to translate this knowledge into operational execution or automation solutions
- Proven capability to thrive in high-pressure scenarios, especially when faced with tight deadlines and multitasking.
- Strong analytical mindset with the ability to translate complex datasets into clear, actionable insights.
- Proven experience improving or automating treasury or finance processes, with practical exposure to tools such as advanced Excel, BI tools, RPA solutions, Python, or similar automation technologies.
- Ability to work cross-functionally with Accounting, Payments, Payroll, IT, and Operations teams.
- Proficient in English, both spoken and written.
Benefits
- work from anywhere
- flexible paid time off
- flexible working hours (we are async)
- 16 weeks paid parental leave
- mental health support services
- stock options
- learning budget
- home office budget & IT equipment
- budget for local in-person social events or co-working spaces
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
liquidity managementcash forecastingrisk managementfinancial data analysisprocess automationdata analysispredictive analyticsbusiness intelligenceadvanced ExcelPython
Soft Skills
analytical mindsetmultitaskinghigh-pressure performancecross-functional collaborationtraining and supportcommunication