Job Description Intel Corporate Treasury has a vision to be the world's best Treasury organization. This position will be part of Global Corporate Treasury cash team based in Bangalore, India.The team is responsible for various Treasury activities in offshore geographies for Intel including cash and liquidity management, cash forecasting, INR currency hedging, local regulatory reporting & compliance in various APAC/EMEA countries incl. RBI compliance for ECB borrowings and other support business partners and stakeholders acorss various Intel sites.The job scope includes but is not limited to: - Cash & liquidity management for Intel offshore entities- Intercompany loan management and local regulatory compliance across APAC and EMEA- Cash forecasting for Intel's offshore entities- INR ECB loan monitoring and compliance Stakeholder and counterparty management- India related investments, arbitrage opportunity and INR opex hedging.Contribute to treasury related fintech system and efficiency projects.
Inside this Business Group
As members of the Finance team, employees act as full partners in making and supporting business decisions that are aimed at maximizing shareholder value. Intel Finance has a strong focus on facilitating change and improvement both within finance and in the operations supported.