Senior Treasury Analyst
Corporate Finance & AccountingPosted 7 Jul 2026
Posted 7 Jul 2026
The original posting with the fluff stripped out
No unique specialisation
Field of studyFinance, Accounting, Commerce (or related)
Study levelBachelor's
This is an internal position.
Location: IN - Bangalore 24/7 | Job-ID: 219455 | Contract type: | Business Unit: Finance & Accounting
Life on the team
As a Senior Treasury Analyst, you will play a critical role in supporting the financial health and liquidity of the business. Working closely with the local Finance team and the global Group Treasury function, you will help ensure effective cash management, accurate forecasting, robust financial controls, and compliance with treasury policies.
You will join a collaborative and fast-paced environment where your expertise will directly influence business decision-making and financial stability. This role offers the opportunity to work with senior finance stakeholders, banking partners, and treasury professionals across multiple geographies while contributing to the continuous improvement of treasury processes and controls.
If you enjoy solving complex financial challenges, leveraging data to drive insights, and working within a global organization, this role provides an excellent platform for professional growth and development.
What you'll do
Cash & Liquidity Management
Treasury Operations
Support and execute treasury activities, including:
Intercompany funding transactions
Cash pooling arrangements
External financing activities
Foreign exchange (FX) and derivative transactions
Assist in optimizing liquidity management and funding strategies.
Financial Control & Reporting
Governance & Compliance
Stakeholder Management & Continuous Improvement
What you'll need
Experience & Qualifications
Technical Expertise
Strong understanding of:
Cash management and liquidity planning
Cash flow forecasting
Treasury operations
Intercompany funding arrangements
Foreign exchange and treasury risk management
Good knowledge of Local GAAP and working awareness of IFRS requirements related to treasury and financial instruments.
Experience with treasury accounting, balance sheet reconciliations, and financial controls.
Advanced Microsoft Excel skills with strong reporting and analytical capabilities.
Experience working with ERP systems; SAP experience is preferred.
Personal Attributes
About us
Computacenter is a leading independent provider of IT infrastructure services, with about 21,000 employees worldwide. We work at the heart of digitisation, advising organisations on IT strategy, implementing the most appropriate technology and managing our customers’ infrastructures.
We offer a friendly, open working environment without too much fuss about hierarchy. We are looking for professionals with diverse competencies, personalities and strengths who want to live our shared value of teamwork and performance.
Interested in joining a company with a strong sense of community?
We’re growing. We’re hiring. We encourage. We empower. We support.
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