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Join NTT Global Data Centers and be part of a team that drives innovation and sustainability in the digital world.
KEY RESPONSIBILITIES Treasury Operations Support Execute daily cash positioning and liquidity tracking activities for assigned accounts or entities. Monitor bank balances and investigate routine variances or discrepancies. Process treasury transactions in accordance with established policies and approval frameworks. Maintain accurate treasury records, schedules, and supporting documentation. Banking & Account Administration Support bank account administration activities, including documentation, signatory maintenance, and KYC updates. Coordinate routine bank account onboarding and changes under established procedures. Maintain and update banking master data in treasury systems and internal trackers. Reporting & Data Preparation Prepare routine treasury reports, dashboards, and reconciliations with a high level of accuracy. Support preparation of short-term cash-flow forecasts and liquidity schedules. Ensure timely delivery of treasury data to Accounting, FP&A, and other stakeholders. Compliance & Controls Support Execute treasury processes in line with internal controls and policy requirements. Support internal and external audit requests by preparing documentation and responding to information requests. Identify operational issues, data inconsistencies, or control gaps and escalate appropriately. Process & Systems Support Support updates to treasury process documentation, SOPs, and templates. Participate in system enhancements, testing, and data validation activities. Contribute to process improvement initiatives aimed at increasing efficiency and accuracy. Assist in training and knowledge sharing with Associate Specialists. KNOWLEDGE & ATTRIBUTES Solid understanding of treasury operations, cash management, and banking processes. Strong attention to detail and commitment to accuracy. Ability to manage routine tasks independently and meet deadlines. Analytical mindset with the ability to investigate and resolve discrepancies. Effective communicator and collaborative team member. Proactive in identifying issues and opportunities for improvement. High ethical standards and respect for financial controls. ACADEMIC QUALIFICATIONS & CERTIFICATIONS Bachelor’s degree in Finance, Accounting, Economics, Business, or a related field. REQUIRED EXPERIENCE 2–4 years of experience in treasury, finance, accounting, or banking operations. Experience supporting cash management, bank administration, or treasury reporting activities. Proficiency in Excel. Exposure to ERP or treasury management systems is preferred. PHYSICAL requirements Operate computer, peripherals, and other office equipment. Perform work during US business hours and time zones. WORK CONDITIONS AND OTHER REQUIREMENTS Travel may be required. Perform work from a remote location with stable internet connection.
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