At Infoblox, every breakthrough begins with a bold “what if.”
What if your ideas could ignite global innovation?
What if your curiosity could redefine the future?
We invite you to step into the next exciting chapter of your career journey. Bring your creativity, drive, your daring spirit, and feel what it’s like to thrive on a team big enough to make an impact, yet small enough to make a difference. Our cloud-first networking and security solutions already protect 70% of the Fortune 500, and we’re looking for creative thinkers ready to push that influence even further. Join us and discover how far your bold “what if” can take the world, your community, and your career.
How we empower our people is extraordinary: we’re recognized as a Glassdoor Best Place to Work 2025, Great Place to Work-Certified in five countries, and honored by Cigna as a Healthy Workforce honors for three consecutive years; and what we build is world class: named CybersecAsia’s Best in Critical Infrastructure 2024 — clear evidence that when first-class technology meets empowered talent, remarkable careers take shape. So, what if the next big idea, and the next great career story, comes from you? Become the force that turns every “what if” into “what’s next.”
In a world where you can be anything, Be Infoblox.
Senior Treasury Analyst
We have an opportunity for a Senior Treasury Analyst to join our Finance Treasury team in Bangalore, reporting to the Senior Manager, Treasury. In this pivotal role, you will drive global cash management, liquidity forecasting, and investment analysis that support Infoblox’s growth and financial resilience. Collaborating closely with Treasury, FP&A, Accounting, Tax, and regional business partners, you will leverage data, analytics, and modern tools — including Anaplan and AI-powered insights — to strengthen cash visibility, optimize funding, and support strategic decisions across our global footprint.
Be a Contributor — What You’ll Do
- Lead the parallel transition to Anaplan for direct and indirect cash flow forecasting to reduce manual processes and improve forecast accuracy
- Design and maintain dashboards and analytical models for global liquidity, cash visibility, and financial risk using Excel, BI tools, and AI-driven analytics
- Analyze daily and monthly cash flows, bank fees, investments, and FX exposures to support data-driven treasury and funding decisions
- Perform recurring cash repatriation analyses, recommend repatriation strategies, and support policy development for ongoing repatriation
- Prepare, review, and interpret monthly cash management metrics, highlighting trends, risks, and opportunities for process improvement
- Partner with management on treasury automation, bank connectivity, and system integration initiatives across banking portals, ERP, and Anaplan
- Maintain global banking relationships, bank account structures, signatories, and KYC documentation in alignment with treasury policy
- Use AI and advanced tools to streamline reconciliations, variance analysis, and scenario modeling, documenting assumptions and validating outputs
- Support cross-functional projects (e.g., new entity setups, business expansion, M&A integration) with treasury requirements, controls, and funding plans
- Champion strong treasury controls by adhering to policies, SOX requirements, and best practices in cash, investment, and FX risk management
Be Prepared — What You Bring
- Bachelor’s degree in Finance, Accounting, Economics, or a related discipline
- 8+ years of relevant experience in treasury, finance, or accounting with hands-on exposure to cash forecasting and global cash management
- Strong understanding of cash flow forecasting methodologies, financial statements, and working capital drivers
- Experience with treasury systems, banking portals, and ERP-based treasury processes, including knowledge of bank account structures and KYC requirements
- Advanced Excel and PowerPoint skills; familiarity with Anaplan, BI tools, or similar planning platforms is a plus
- Ability to use data and analytics (including AI-enabled tools) to identify patterns, build scenarios, and translate insights into recommendations
- Strong communication and collaboration skills, with confidence to partner across time zones with senior stakeholders and banking partners
- Demonstrated problem-solving skills, attention to detail, and comfort operating in a fast-paced, ambiguous, global environment
- Familiarity with treasury controls, policy compliance, and process automation; multinational cross-border treasury experience preferred
- Professional certification such as CPA, CTP, or equivalent is helpful but not required
Be Successful — Your Path
First 90 Days: Immerse in our culture, connect with mentors (Blox Buddies), and map the systems and meet with key stakeholders that rely on your work. Discuss and create short/long term goals.
Six Months:
- Collaborate with stakeholders on the end-to-end direct and indirect cash flow forecast migration into Anaplan, working on enhancements as required
- Support various migration and integration for our bank accounts structure
- Develop and refine liquidity and investments dashboard and KPI reporting, incorporating trend analysis and variance commentary
- Collaborate with tax and accounting on excess cash analysis and create repeatable process for future cash repatriation
- Identify and implement at least two treasury process improvements or automations that reduce manual effort and cycle time
One Year:
- Serve as the subject-matter expert for global cash forecasting and liquidity analytics for your coverage area
- Lead treasury support for one or more strategic initiatives such as new market entry, legal entity changes, or M&A integration
- Optimize bank account structures and fees in partnership with global banking partners, delivering measurable cost and efficiency benefits
- Support the development of a repeatable, AI-assisted analytics framework for liquidity trends, FX exposure, and capital markets scenario analysis that aligns with treasury strategic goals
Belong — Your Community
Our culture thrives on inclusion, rewarding the bold ideas, curiosity, and creativity that move us forward. In a community where every voice counts, continuous learning is the norm. So, whether you code, create, sell, or care for customers, you’ll grow and belong here.
Be Rewarded — Benefits That Help You Grow, Thrive, Belong
- Comprehensive health coverage, generous PTO, and flexible work options
- Learning opportunities, career-mobility programs, and leadership workshops
- Sixteen paid volunteer hours each year, global employee resource groups, and a “No Jerks” policy that keeps collaboration healthy
- Modern offices with EV charging, healthy snacks (and the occasional cupcake), plus hackathons, game nights, and culture celebrations
- Charitable Giving Program supported by Company Match
Ready to Be the Difference?
Infoblox is an Affirmative Action and Equal Opportunity Employer, and all qualified applicants will receive consideration for employment without regard to race, color, religion, gender, sexual orientation, national origin, genetic information, age, disability, veteran status, or any other legally protected basis.
#LI-Hybrid
Skills Required
- Bachelor's degree in Finance, Accounting, Economics, or related discipline
- 8+ years of experience in treasury, finance, or accounting with cash forecasting and global cash management
- Strong understanding of cash flow forecasting methodologies, financial statements, and working capital drivers
- Experience with treasury systems, banking portals, ERP-based treasury processes, bank account structures, and KYC requirements
- Advanced Excel skills
- Advanced PowerPoint skills
- Familiarity with Anaplan
- Familiarity with BI tools or similar planning/analytics platforms
- Ability to use data and analytics, including AI-enabled tools, for scenario modeling and insights
- Strong communication and collaboration skills with cross-time-zone stakeholders and banking partners
- Demonstrated problem-solving skills, attention to detail, and ability to work in a fast-paced, ambiguous global environment
- Familiarity with treasury controls, policy compliance, and SOX requirements; process automation experience
- Multinational cross-border treasury experience
- Professional certification such as CPA or CTP
Infoblox Compensation & Benefits Highlights
The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Infoblox and has not been reviewed or approved by Infoblox.
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Wellbeing & Lifestyle Benefits — Company materials emphasize health and insurance for employees and families, mental-wellbeing resources, wellness programs, ERGs, and community/connection perks. Office amenities such as free lunches on collaboration days, massages, snacks, fitness centers, and EV charging are highlighted in key sites.
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Leave & Time Off Breadth — Time off is described to include “unlimited” PTO in the U.S., a year-end shutdown, and 16 hours of paid volunteer time annually. These elements indicate breadth in paid time away offerings.
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Strong & Reliable Incentives — Sales compensation is presented with six-figure bases and tiered OTEs, indicating strong upside when targets are met. Public sales community data signals competitive OTEs for roles like sales engineers and AEs when attainment is achieved.
Infoblox Insights
What We Do
Infoblox unites networking and security to deliver unmatched performance and protection for a world that never stops. By providing real-time visibility and control over who and what connects to the network, we use intelligent DNS and user context to stop threats other solutions will miss, enabling organizations to build safer, more resilient environments. We’re continually supporting more than 13,000 customers—including 92 of Fortune 100 companies, as well as emerging innovators—by building the brightest, most diverse teams and by thoughtfully engineering intelligent networking and security solutions for an increasingly distributed world.
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