Senior Treasury Analyst
Job Summary
Job Description:
Key responsibilities:
Cash Management and Forecasting
Prepare and distribute daily 4-day and full-month U.S. cash forecasts to Group Treasury and UK Treasury.
Monitor receipts versus forecast ACH run estimates and short-term liquidity gaps daily.
Escalate liquidity risks overdraft exposure and timing mismatches particularly around month-end and large media payment runs.
Provide intraday forecast updates during high-variance periods as warranted by market or operational conditions.
Maintain and update the master cash forecast file (USA 2026 Cash ) and supporting models.
Payments and Funding
Confirm funding availability for urgent and high-value payments including media payroll tax and ad-hoc disbursements.
Investigate and resolve ACH debit returns rejected vendor payments and value-date discrepancies in coordination with JPMorgan Chase and Accounts Payable.
Approve and support manual wire payments and high-value disbursements; provide transaction traces UETRs and bank reference documentation.
Serve as the backup Treasury contract for same-day payroll and statutory wires (401k benefits) ensuring timely funding confirmation.
Banking and Liquidity Facilities
Administer JPMorgan Chase portal security including SADF form submissions for user access changes read-only vs. payment access setup and additional administrator management.
Coordinate overdraft and sweep facility renewals (e.g. Eaton Gate LLC) working with Legal and authorized signatories through JPM submission.
Maintain U.S. bank account documentation account listings and support new account requests including foreign currency account rationale and approvals.
Trade Credit Insurance
Coordinate day-to-day U.S. trade credit insurance requests and coverage changes with Allianz Trade and internal Credit Management teams.
Conduct monthly reviews of ageing and exceed reports appeals listings and third-party insurance reports to ensure adequate client coverage.
Monitor overdue aging buckets for Non-Payment Notification (NPN) eligibility and coordinate filing requirements with business lines.
Relay insurer status to stakeholders; Credit Management maintains documentation of approval authority for coverage decisions or risk acceptance.
Process Improvement and Transformation
Identify system limitations and data quality gaps in current forecasting models; contribute to solution design and testing.
Support bi-weekly Treasury / Operations / AP check-ins and cross-functional coordination with AR Media Finance and banking partners.
Document processes workarounds and institutional knowledge to support operational continuity and SOX/ICF compliance.
Decision Framework and Request Routing
Apply a standardized triage checklist to all inbound requests: classify verify required information confirm Treasury ownership assess liquidity and urgency and close the loop with a named action owner.
Knowledge and Qualifications
Qualifications
Bachelors or Masters Degree in Commerce Finance Accounting Business Administration Economics ICWAI/CMA CTP MBA or Semi-Qualified Chartered Accountant.
79 years of experience in corporate treasury cash management or related finance functions.
Direct experience with daily cash forecasting payment operations and bank portal administration.
Experience with trade credit insurance processes and insurer coordination is a strong plus.
Prior exposure to a multinational or holding-company environment with intercompany funding structures preferred.
Systems and Tools
JPMorgan Chase Portal cash positions loan interest reporting SADF administration and payment investigations.
Microsoft Dynamics 365 (D365) ERP integration for payables receivables and intercompany accounting.
Power BI AR aging reports cash forecasting dashboards and variance analysis.
Coupa Treasury (Bellin) treasury management system for approval routing and reporting.
FastPay payment execution and disbursement processing.
Microsoft Teams daily coordination with Group Treasury AP and cross-functional partners.
Core Competencies
Cash Forecasting Accuracy the ability to manage multi-horizon forecasts and reduce variance through disciplined data analysis - a methodical approach to payment triage and escalation.
Group Treasury Communication clear decisive communication with internal teams banking partners and insurers.
Problem Solving capacity to investigate ACH returns reconcile intercompany balances and resolve value-date discrepancies under time pressure.
Process Orientation commitment to documenting procedures eliminating undocumented workarounds and maintaining SOX/ICF compliance.
Judgment and Prioritization ability to distinguish Treasury-owned decisions (risk and timing) from execution tasks that belong to partner functions.
Route requests appropriately: funding confirmation to Treasury payment execution to AP bank investigations to JPMorgan credit approvals to Credit Management.
Push back on requests that are execution- or chase-only and do not require a Treasury risk or timing decision.
Location:
BangaloreBrand:
BcoeTime Type:
Full timeContract Type:
PermanentRequired Experience:
Senior IC
About Company
Dentsu is an integrated growth and transformation partner to the world’s leading organizations. Founded in 1901 in Tokyo, Japan, and now present in approximately 120 countries.