To manage day-to-day Treasury operations including cash flow planning, fund management, banking relations, forex exposure management, and compliance, ensuring effective and timely support to business and financial operations. This role adds value by ensuring optimal capital utilization, regulatory compliance, and financial risk mitigation.
2. Role Description
Daily cash flow monitoring and short-term/long-term forecasting
Manage fund movements, banking transactions, and loan servicing
Handle foreign exchange exposures and hedging strategies
Maintain relationships with banks and financial institutions
Manage documentation and compliance related to borrowings, LCs, and guarantees
Investment of surplus funds within approved limits
Prepare and review Treasury MIS and analytics dashboards
Coordinate with internal and external auditors for Treasury audits
Ensure compliance with RBI/FEMA/Companies Act guidelines
Assist in the automation and system enhancement of Treasury functions
3. Managing Points
Approve routine treasury transactions within defined financial limits
Execute forex trades within pre-approved limits
Coordinate and negotiate with banks on terms and conditions
Recommend fund placement proposals to the Head - Treasury
External customers / contacts : Banks and financial institutions, Rating agencies, External auditors
Internal cusomters : Finance, Accounts, Taxation, Legal, Strategic Finance teams
Impact : Critical impact on liquidity, interest cost, and currency risk managementEnsures smooth financial operations and regulatory compliance
5. Requirements:
Education:
CA - Rank Holder preferred
Experience:
Minimum 5 years of post-qualification experience in Corporate TreasuryProven expertise in cash flow management, forex, and banking operationsExperience with ERP (SAP preferred), treasury systems, and MS Excel
6. Target companies / Related inputs:
Large Indian conglomerates with structured Treasury functions (e.g., Tata Group, Mahindra, Aditya Birla Group, Reliance)Automotive / Engineering / FMCG companiesReputed financial institutions with corporate banking / treasury teams
7. Competencies and certification courses/trainings considered necessary to perform this job