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Job Description
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II. POSITION SUMMARY
The Treasury Analyst will support the organizations regional treasury operations, including cash and liquidity management, banking operations, foreign exchange (FX) processes, and treasury reporting. The role involves close coordination with internal finance teams, and cross-functional stakeholders across multiple geographies. This position is ideal for professionals looking to build a solid foundation in corporate treasury, global cash management, and FX operations within a multinational environment.
Iii. Key Responsibilities
Cash & Liquidity Management
- Monitor daily cash positions across global subsidiaries and multiple currencies.
- Support short-term cash forecasting and liquidity planning.
- Assist in optimizing cash utilization and intercompany funding requirements.
- Execute and monitor domestic and international payments through SWIFT, RTGS, ACH, SEPA, and wire transfer systems.
- Ensure timely processing, tracking, and reconciliation of payments.
- Coordinate with internal teams and banks to resolve payment-related issues.
- Assist in FX exposure identification and mapping across entities.
- Support execution, settlement, and monitoring of FX transactions.
- Track mark-to-market (MTM) valuations and FX deal settlements.
- Maintain FX deal documentation and trackers.
- Assist in bank account openings, closures, and maintenance globally.
- Support KYC, FATCA/CRS, and other regulatory or compliance documentation.
- Coordinate with banks and internal compliance teams to ensure timely renewals and updates.
- Maintain and administer digital banking platforms, including user access, entitlements, and security controls.
- Support System integrations and daily treasury system activities (SAP).
- Support intercompany funding, loan documentation, and settlements.
- Assist with interest calculations, postings, and confirmations.
- Coordinate with accounting teams for reconciliation and reporting.
- Prepare and maintain monthly treasury MIS, including cash flow reports, liquidity dashboards, and FX trackers.
- Support internal and external audits related to treasury activities.
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- Assist with SOX / ICFR compliance, documentation of controls, and process improvements.
Technical Skills (good to have)
- Treasury operations and global cash management
- Cross-border and domestic payment processing
- FX / Forex fundamentals and settlement processes
- Banking documentation and regulatory compliance
- ERP / Treasury Management Systems (SAP– preferred)
- Advanced MS Excel (pivot tables, lookups, basic financial modeling)
- Strong analytical and problem-solving abilities
- High attention to details and data accuracy
- Effective communication and coordination skills
- Ability to collaborate with multiple stakeholders across geographies
- Willingness to learn and adapt in a fast-paced global environment
At Air Products, we work in an environment where we put safety first, diversity is essential, inclusion is our culture, and each person knows they belong and matter. To learn more, visit About Air Products.
Skills
Foreign ExchangeForexTreasuryTreasury ManagementTreasury OperationsCash ForecastingCash ManagementFx OperationsLiquidityLiquidity ManagementPayment ProcessingSwiftIf an employer asks you to pay any kind of fee, please notify us immediately. Jobaaj does not charge any fee from the applicants and we do not allow other companies also to do so.
About Company
Air Products and Chemicals, Inc. is an American international corporation whose principal business is selling gases and chemicals for industrial uses. Air Products' headquarters is in Upper Macungie Township, Pennsylvania, in the Lehigh Valley region of Pennsylvania. Air Products (NYSE:APD) is a world-leading industrial gases company in operation for over 80 years. Focused on serving energy, environment and emerging. Air Products' FETA program is a unique development initiative which aims to attract, develop, and train both experienced and fresh graduate
Important dates & deadlines?
Application Deadline
16 Jun 26, 05:59 PM IST
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