Specialist-gre Treasury

Invesco

Hyderabad, India
Hybrid
Monetary operations management
Cash obligations and liquidity management
Private market funds
The Team is responsible for managing monetary operations, cash obligations and liquidity management of our Private Market Funds, execution of account payables, internal and external cash transactions, bank accounts management, bank user access administration, as well as handling KYC/AML bank requests

Job Summary

  • The Team is responsible for managing monetary operations, cash obligations and liquidity management of our Private Market Funds, execution of account payables, internal and external cash transactions, bank accounts management, bank user access administration, as well as handling KYC/AML bank requests.
  • As Treasury Specialist, you will be responsible for managing monetary operations, cash obligations and liquidity management of our Private Market Funds for EMEA region.
  • In Invesco, we act with integrity and do meaningful work to create impact for our stakeholders, offering competitive compensation, flexible hybrid work, and comprehensive benefits.

Matching Summary

The Team is responsible for managing monetary operations, cash obligations and liquidity management of our Private Market Funds, execution of account payables, internal and external cash transactions, bank accounts management, bank user access administration, as well as handling KYC/AML bank requests.

Skills & Requirements

Must-have

  • Monetary operations management
  • Cash obligations and liquidity management
  • Private Market Funds
  • Account payables processing
  • Internal and external cash transactions
  • Bank accounts management
  • Bank user access administration
  • KYC/AML bank requests handling

Nice-to-have

  • Challenging work and intelligent colleagues
  • Global footprint exposure
  • Social values and belonging
  • Lifelong learner development

Key Requirements

  • Master’s degree in finance, accounting, business administration or related field
  • Minimum of 8 years’ experience in fund treasury operations
  • Proficiency in using banking platforms, payment systems, and treasury tools
  • Experience with Service Now or similar workflow management systems
  • Knowledge of KYC/AML, corporate laws and banking regulations in the EMEA region

Work Rights

Not specified

Tailored Resume

Cover Letter