Treasury Settlements Officer

Maersk Line India Pvt Ltd
Chennai
Not disclosed
Work from OfficeWork from Office
Full TimeFull Time
Min. 5 yearsMin. 5 years

Job Description

Treasury Settlements Officer

About Maersk

A.P. Moller - Maersk is a Danish-based, world-leading integrated logistics company founded in 1904, focused on connecting and simplifying global supply chains. As the global leader in shipping services, the company operates in 130 countries and employs roughly 100k+ people with an annual turnover of approximately USD 54 billion. At Maersk, we want to be pioneers in logistics. We’re embarking on a bold new direction, expanding our capabilities to become a truly end-to-end logistics service that can deliver intelligent solutions for customers around the world. Doing so requires us to reinvent global logistics with technology and data. As we rapidly digitise our business and build our capabilities across the world, this is your chance to work on projects and operations that will get us there, bringing innovation and collaboration together.

About the Role

This is a full‑time, permanent role within Treasury Operations – Bank Infrastructure, part of the Global Cash Management function under Treasury & Risk at A.P. Moller – Maersk. The team is responsible for global treasury settlements, banking infrastructure, and treasury master data.

In this role, you will work on core treasury operations including settlements, online banking platforms, and treasury management systems, while supporting process improvement and digital initiatives within treasury operations. You will gain exposure to global treasury activities across regions in a fast‑paced, high‑performance environment, offering strong opportunities for learning and career development.

Maersk is a performance‑driven organization committed to attracting talent based on merit and fostering diverse, inclusive teams where different perspectives are valued.

Key Responsibilities

We are seeking an experienced treasury professional to join our Global Treasury Operations team as a Treasury Settlements Officer. In this role, you will be responsible for managing daily treasury settlements, with an annual settlement volume of approximately USD 500 billion along with driving change in the process

This will include:

  • Execute daily treasury settlements via TMS and banking platforms with accuracy and strong controls.
  • Monitor payment workflows through SWIFT and Payments Hub; resolve breaks and discrepancies.
  • Identify and drive automation opportunities within treasury processes, leveraging low‑code, reporting, and AI‑enabled tools to improve efficiency, controls, and visibility.
  • Maintain TMS static master data, banking relationships, and support e‑banking/KYC administration.
  • Ensure compliance with treasury governance, audit, and regulatory requirements.
  • Prepare operational KPIs and support reporting to stakeholders.
  • Support system initiatives including ISO 20022 migration and UAT activities.

Who are we looking for:

We are seeking a treasury professional with a degree in Finance or Accounting and demonstrated expertise in Global Treasury and Cash Management across Front, Middle, and Back Office functions.

  • 5+ years of experience in Global Treasury / Cash Management within a large MNC.
  • Strong knowledge of treasury settlements, liquidity management, and SWIFT messaging (MT & ISO 20022).
  • Experience with TMS, ERP, and global e‑banking platforms.
  • Working knowledge of Microsoft 365 and Power Platform (Power Automate, Power Apps, Power BI, Excel).
  • Exposure to AI‑enabled or digital tools used for automation, reporting, or operational monitoring (preferred).
  • Strong analytical, problem‑solving, and stakeholder management skills.
  • Continuous‑improvement mindset with ability to translate operational needs into scalable solutions.

Preferred Key competencies, Capabilities, and Skills:

  • Experience working with TMS, ERP, and global e‑banking platforms, with a solid understanding of digital banking environments.
  • Strong interest in digital enablement and process improvement within treasury operations.
  • Working knowledge of reporting and automation tools such as Power BI, Power Apps, Power Automate, SharePoint, and Teams.
  • Exposure to analytics or AI‑enabled tools (such as Dify) to support insights, automation, or decision‑making (preferred).
  • Experience governing treasury master data within TMS and ERP environments, ensuring data quality, controls, and compliance

Job Location:

Either in Pune or Chennai GSC, India

Maersk is committed to a diverse and inclusive workplace, and we embrace different styles of thinking. Maersk is an equal opportunities employer and welcomes applicants without regard to race, colour, gender, sex, age, religion, creed, national origin, ancestry, citizenship, marital status, sexual orientation, physical or mental disability, medical condition, pregnancy or parental leave, veteran status, gender identity, genetic information, or any other characteristic protected by applicable law. We will consider qualified applicants with criminal histories in a manner consistent with all legal requirements.

 

We are happy to support your need for any adjustments during the application and hiring process. If you need special assistance or an accommodation to use our website, apply for a position, or to perform a job, please contact us by emailing  accommodationrequests@maersk.com

Experience Level

Mid Level

Job role

Work location
Work locationINMAA15 - Chennai - RMZ One Paramount, India
Department
DepartmentFinance & Accounting
Role / Category
Role / CategoryBanking - Treasury & Forex
Employment type
Employment typeFull Time
Shift
ShiftDay Shift

Job requirements

Experience
ExperienceMin. 5 years

About company

Name
NameMaersk Line India Pvt Ltd
Job posted by Maersk Line India Pvt Ltd

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