TREASURY MANAGER

Publication Date:  Feb 3, 2026
Ref. No:  542315
Location: 

Mumbai, IN

About Atos Group

 

Atos Group is a global leader in digital transformation with c. 67,000 employees and annual revenue of c. €10 billion, operating in 61 countries under two brands — Atos for services and Eviden for products. European number one in cybersecurity, cloud and high performance computing, Atos Group is committed to a secure and decarbonized future and provides tailored AI-powered, end-to-end solutions for all industries. Atos Group is the brand under which Atos SE (Societas Europaea) operates. Atos SE is listed on Euronext Paris.

 

The purpose of Atos Group is to help design the future of the information space. Its expertise and services support the development of knowledge, education and research in a multicultural approach and contribute to the development of scientific and technological excellence. Across the world, the Group enables its customers and employees, and members of societies at large to live, work and develop sustainably, in a safe and secure information space.

Job Title: Treasury Accounting Specialist

Location: Chennai

Flexi to work in UK Shift

Immediate Joiners/Lesser notice period candidates only required

Role Overview:

The Treasury Accounting Specialist is responsible for accurate accounting and reporting of treasury-related activities, including interim accounts clearing, factoring, net debt, and compliance with internal and external audit requirements.

This role ensures timely reconciliations, preparation of financial data, and support for treasury reporting processes.

 

Key Responsibilities:

  • Bank Accounts & Debt Accounting
  • Daily check and follow up on interim GL bank accounts & final allocations
  • Handle HR, Tax, Cash pool Interest booking and follow up with external/internal partners
  • Act as SPOC for external service providers
  • Bank charges checks and reporting
  • Ensure accuracy and completeness of bank accounts balances
  • Bank accounts reconciliation
  • Factoring Accounting
  • Process factoring transactions and reconcile related entries.
  • Collaborate with the factoring team for data input and validation.
  • Net Debt Reporting
  • Handle monthly and quarterly reporting cycles for Net Debt reporting
  • Monitor load to IRIS, handle discrepancies
  • Perform financial checks and validations to ensure compliance.
  • Audit Support
  • Handle external and internal audit queries related to treasury accounting.
  • Provide documentation and explanations as required.

Skills & Qualifications:

 

Strong knowledge of accounting principles and 10-13 years of experience in treasury processes.

Proficiency in SAP and related reporting tools.

Attention to detail and ability to manage recurring tasks under strict deadlines.