OPS-SSG / Cash Management
Nomura · mumbai, IN
FinanceBanking/Financecash managementliquidity managementbank reconciliationfinancial forecastingwire transfers
The Cash Management role at Nomura involves monitoring and managing daily cash positions across multiple bank accounts, processing wire transfers, preparing cash forecasts, and reconciling bank statements. This position supports the organization's treasury operations, ensuring optimal liquidity management and efficient cash flow processes. Strong communication skills and a process-oriented mindset are essential.