132 Forex Management Jobs - Page 3

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5.0 - 10.0 years

5 - 8 Lacs

pune

Work from Office

Role & responsibilities Prepare Daily Cash Flow Track & maintain up-to-date Treasury MIS for FD, short term & long term loans, Bill discounting/ Factoring and ensure timely debt repayments End to end Co-ordination with bankers for forex, Swap, Forward contracts, trade operations and maintain MIS on real time basis. Processing of LC & BG - prompt query resolution & co-ordination with internal & external stake holder Processing A1 & A2 outward remittances and knowledge of related FEMA compliances and also ensure timely payment Closure of IDPMS related pendencys Reconciliation of bank borrowings with books Provide Disposal of export inward to banks and ensure timely receipt of funds Submission ...

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8.0 - 10.0 years

8 - 10 Lacs

hyderabad, bengaluru

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Looking experienced Project Closure Specialist for Bangalore to independently manage end-stage project closure (financial, contractual and documentation activities) worked in SAP (S/4HANA, FICO, PS), project accounting, and stakeholder management. Required Candidate profile 8–10 years of experience in project accounting/finance, Handling project closeout, financial reconciliation, forex/bonds, and SAP reporting. Strong analytical and communication skills required.

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10.0 - 20.0 years

24 - 42 Lacs

greater noida

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This is a full-time on-site role for a Chartered Accountant ( CA-Inter ). The Chartered Accountant will be responsible for day-to-day financial operations, compliance with regulations, financial analysis, budgeting, and auditing. Health insurance Annual bonus Provident fund Food allowance

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8.0 - 12.0 years

30 - 32 Lacs

mumbai

Work from Office

Skill, Knowledge & Trainings: Technical: Fair understanding of Forex operations, Nostro Accounts, fund settlement of banks and customers, accounting, regulations, etc. Should have sound understanding of the IT framework of forex, payment and settlement business functioning and can lead the related business/projects Behavioural & Leadership: Team building and Team working Project Execution skills with internal/external team members Good communication skills A team-player, able to work under tight deadlines and manage multiple concurrent projects Ability to priorities, work independently and exercise good judgment Job Purpose: The incumbent will have primary responsibility of executing forex p...

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10.0 - 18.0 years

30 - 45 Lacs

mumbai, navi mumbai, pune

Work from Office

CA Must Banking Relationship Treasury Banking Forex Debt Market Fund based Non-Fund Based RBI SEBI FEMA Banking Relationship

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3.0 - 7.0 years

8 - 10 Lacs

kadi, prantij

Work from Office

CMA Data Preparation,Project Report Prepration,Banking Operations,Trade Finance Documentation,Forex & LC,BGTranscations,Forward Hedging & Booking,MIS Reporting,Compliance & Documentation,Audit Support,Coordination & Communication,Finalisation. Required Candidate profile • Sound knowledge of banking products, forex, and trade finance. • Proficiency in MS Excel and financial reporting tools. • Good communication and negotiation skills.

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6.0 - 10.0 years

15 - 30 Lacs

noida, gurugram, delhi / ncr

Hybrid

Your potential, unleashed. India's impact on the global economy has increased at an exponential rate and Deloitte presents an opportunity to unleash and realize your potential amongst cutting edge leaders, and organizations shaping the future of the region, and indeed, the world beyond. At Deloitte, your whole self to work, every day. Combine that with our drive to propel with purpose and you have the perfect playground to collaborate, innovate, grow, and make an impact that matters. The team Assurance is about much more than just the numbers. Its about attesting to accomplishments and challenges and helping to assure strong foundations for future aspirations. Deloitte exemplifies the what, ...

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5.0 - 10.0 years

15 - 17 Lacs

chennai

Work from Office

Oversee treasury strategy, operations, and compliance to minimize financial risk. Manage cash, forex, funding, and regulatory needs, while leading bank relations and mentoring the team to ensure effective financing, reporting, and growth. Required Candidate profile Qualified CA or CMA with 5-10 years of experience in managing banking relationships, fundraising, and treasury operations, preferably within the manufacturing sector.

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10.0 - 14.0 years

0 Lacs

hyderabad, telangana

On-site

You will be a key part of Hartex Rubber Pvt. Ltd., a renowned manufacturer and exporter of premium bicycle tires and tubes with a solid global footprint. The company prides itself on a rich history of top-notch quality, innovation, and international presence, underpinned by a strong emphasis on financial prudence and operational excellence. As a seasoned Banking and Treasury professional, your primary responsibility will be to spearhead and enhance the banking, treasury, and forex operations within the organization. An ideal candidate for this role should possess a profound understanding of banking protocols, export documentation, forex management, LC/BG/OD handling, and a well-established n...

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4.0 - 8.0 years

0 Lacs

hyderabad, telangana

On-site

As a SAP FICO_TRM_Cash & Liquidity Consultant, you will be responsible for providing expertise in TRM and Cash & Liquidity Management within SAP FICO. You should have a minimum of 4 to 5 years of relevant experience in these areas. Your educational background should include being a graduate in Commerce/MBA Finance/CA. It is imperative that you are open to travelling onsite to Bahrain as part of this 6 Months Extendable Contract role. Your experience should encompass SAP FICO, BCS, TRM, Cash and Liquidity Management, along with at least 2 years of Finance Domain experience. In this role, you will be involved in S/4HANA Treasury Cash & Liquidity Management, where you should have been part of 1...

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1.0 - 3.0 years

6 - 11 Lacs

Mumbai

Work from Office

Roles and Responsibilities Manage treasury operations, including cash flow management, fund raising, and liquidity management. Ensure compliance with regulatory requirements related to FDI and forex operations. Develop and implement effective strategies for fund management, fund flow analysis, and forecasting. Collaborate with cross-functional teams to identify opportunities for cost savings through efficient treasury operations. Desired Candidate Profile 1-3 years of experience in treasury management or a related field (BFSI). Strong knowledge of finance principles, including financial modeling and analytics. Proficiency in tools such as Excel, PowerPoint, etc. CA/MBA/PGDM degree from a rep...

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5.0 - 10.0 years

16 - 20 Lacs

Bengaluru

Work from Office

Manage Liquidity,Working capital interest rate risk of the group.Forecast & ensure adequate working capital is available for day-to-day operations. Manage liquidity costs.Understand exposure to different currencies.Front-ending/Liasoning with banks Required Candidate profile CA ,4 years' experience in treasury operations of Manufacturing /engineering companies. SAP knowledge must. Rich analytical abilities especially wrt the fund flows, investments, hedge funding, etc.

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4.0 - 9.0 years

20 - 25 Lacs

Bhiwadi

Work from Office

Monitoring day-to-day banking & treasury operations Processing of export remittances Must have knowldge of Forex & hedging instruments Hands-on experience in handling bank documentation, LC/BG processing & debt compliance tracking Required Candidate profile Must have CA Graduate Experience working in manufacturing company. Proficiency in MS Excel and financial modeling Proficiency in SAP FI Module

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10.0 - 15.0 years

0 Lacs

kollam, kerala

On-site

As a Finance Generalist at our organization based in Kollam, Kerala, you will be responsible for leading various financial functions across the organization. With 10-15 years of experience, primarily in the manufacturing sector, you will play a critical role in treasury operations, forex management, costing, due diligence, financial reporting, and compliance. Preference will be given to candidates with a background in export-oriented companies, particularly in the food or Agri-processing industry. Your key responsibilities will include: 1. **Treasury & Cash Flow Management**: - Supervising day-to-day fund flow, cash forecasting, and working capital planning. - Managing bank relationships, cr...

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7.0 - 12.0 years

5 - 15 Lacs

Mumbai Suburban

Work from Office

Role & responsibilities 1. Direct & Indirect Tax Compliance: Prepare and file TDS returns (Forms 24Q, 26Q, 27Q, 27EQ ) within statutory timelines. Issue Form 16 and 16A to vendors and employees. Manage GST monthly compliance , including GSTR-1, GSTR-3B, and annual returns. Reconcile and file GST TDS and TCS returns, and handle discrepancies if any. Address and resolve demand notices related to TDS and GST filings. Maintain proper documentation for tax filings, provisioning, assessments, and audits . 2. Financial Compliance & Audit: Support and coordinate with internal and statutory auditors to ensure accurate and timely audit closures. Assist in managing financial statements, tax audits, and...

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5.0 - 10.0 years

7 - 10 Lacs

Poonamallee, Chennai

Work from Office

Role & responsibilities : Managed local banking structure and day-to-day banking operations. Built and maintained strong relationships with partner banks to enhance collaboration. Identified service optimization opportunities and negotiated bank charges to reduce costs effectively. Preferred candidate profile : Several years of work experience in corporate treasury or banking (cash management) . CA / ICWAI qualified / Masters Degree in Accounting, Business Administration, Economics, Finance etc. Infor M3 / SAP/ any ERP system experience preferred . Strong financial acumen and knowledge of financial processes

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5.0 - 9.0 years

0 Lacs

delhi

On-site

As a Treasury Manager in the Corporate Finance department of a Pharma/FMCG company based in Delhi, your primary responsibility will be to assist the Treasury Head in effectively managing various financial functions. Your role will involve overseeing cash flow, managing investments, handling forex and debt instruments, ensuring compliance with banking regulations, and optimizing treasury operations using digital tools. Your key responsibilities will include: Cash & Liquidity Management: - Prepare and maintain daily cash flow forecasts for optimal liquidity. - Analyze cash flow variances and provide recommendations for efficient fund allocation. Investment Management: - Identify, evaluate, and...

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7.0 - 12.0 years

12 - 22 Lacs

Pune, Bengaluru, Mumbai (All Areas)

Work from Office

Roles and Responsibilities Provide expertise on SAP TRM (Treasury Risk Management) modules such as Cash Management, Liquidity Management, Forex Management, BCM (Bank Communication Manager), Hedging, Money Market. Implement and configure SAP TRM solutions for clients across various industries. Collaborate with cross-functional teams to identify business requirements and develop customized treasury management strategies. Conduct workshops and training sessions for end-users on SAP TRM best practices and system usage. Analyze client needs and provide recommendations for process improvements using SAP TRM tools. Desired Candidate Profile 7-12 years of experience in Treasury Risk Management or re...

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0.0 - 1.0 years

2 - 3 Lacs

Pune, Bengaluru, Mumbai (All Areas)

Work from Office

Hiring Asst. Manager – Banking Ops in Mumbai. Pure backend operations role: Cash handling, KYC/AML, DD/cheque clearing, CTR/STR reporting, ATM & forex services. Must have: Branch Ops, KYC. Freshers & experienced can apply. Backend profile only.

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5.0 - 7.0 years

16 - 20 Lacs

Bengaluru

Work from Office

Manage Liquidity,Working capital interest rate risk of the group.Forecast & ensure adequate working capital is available for day-to-day operations. Manage liquidity costs.Understand exposure to different currencies.Front-ending/Liasoning with banks Required Candidate profile CA ,4 years' experience in treasury operations of Manufacturing /engineering companies. SAP knowledge must. Rich analytical abilities especially wrt the fund flows, investments, hedge funding, etc.

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15.0 - 24.0 years

40 - 85 Lacs

Mumbai

Work from Office

We're Hiring: Head Trading (Edible Oils) Location: Mumbai, India Reports To: CEO Consumer Division (India) | Matrix to CEO Trading (Singapore) Industry: Edible Oils | Commodities Experience: 15+ years in international trading and procurement of edible oils or agri-commodities Are you a strategic trading leader with global market experience in edible oils or agri-commodities? This is your opportunity to lead international procurement and price-risk management for one of India's leading consumer businesses. Key Responsibilities Lead global sourcing from Indonesia, Malaysia, Argentina, Ukraine & more Manage relationships with international producers, brokers & trading houses Drive trading strat...

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8.0 - 10.0 years

12 - 15 Lacs

Bengaluru

Work from Office

Manage Liquidity & working capital to create a robust fund availability.Deploy surplus funds in various investments.Oversee forex especially exposure of the group to different currencies.Prepare CMA proposals for banks to generate funds. Required Candidate profile Rich experience in Treasury & Fund Management for effective utilization of CC limits /borrowings to ensure zero idle funds with minimal interest and risk.Working on SAP.

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2.0 - 7.0 years

7 - 9 Lacs

Chennai, Bengaluru

Hybrid

Treasury Cash management Bank middle/back-office experience • At least 2 years of relevant experience • Prefer candidates with Treasury or banking background Support day-to-day cash management operations, including, but not limited to, daily cash reconciliations, cash and FX needs forecasting, in accordance with treasury policies and procedures to meet PayPal product liquidity and PayPal entities regulatory requirements • Support and manage all aspects of the settlement payment process, including overseeing the full life cycle of payments. This entails creating tracking systems, confirming approvals, and facilitating the settlement of wire and transfer payments • Assist with end-of-day cash ...

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1.0 - 3.0 years

11 - 15 Lacs

Bengaluru

Work from Office

Role & responsibilities: Responsible for overall banking operations - liaison with banks, working capital management, preparing and submission of reports to banks, knowledge of trade banking i.e. LC, BG etc. Budgeting, forecasting, MIS and monthly closing on a timely basis, FX and other treasury operations. Bank account administration: KYC, account opening and closing, signatory updates, mandates, onboarding etc. Timely preparations of Treasury and Banking related reports such as BRS, cash flow statement, and other management reports. Manage treasury function, including meeting short and long-term funding needs. Manage aspects of risk through accounting, audit, planning and treasury function...

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5.0 - 10.0 years

10 - 20 Lacs

Mumbai, Maharashtra, India

On-site

Roles and Responsibilities: Manage end-to-end Forex transactions , including hedging, rate negotiation, and settlement. Conduct cash flow analysis to ensure liquidity and efficient working capital management. Oversee investment management and optimize fund utilization across business units. Ensure compliance with regulatory and internal treasury policies. Prepare and present accurate treasury and forex reports for management review. Assess financial risks and implement mitigation strategies in line with company objectives. Collaborate with internal teams and external banking partners for smooth treasury operations. Leverage advanced Excel skills for data analysis, modeling, and reporting. Le...

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