Risk Management Professional

4 - 9 years

6 - 11 Lacs

Posted:1 day ago| Platform: Naukri logo

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Work Mode

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Job Type

Full Time

Job Description

A Treasury Manager plays a pivotal role in ensuring an organizations financial
stability by overseeing cash flow, managing liquidity, and mitigating financial risks. They develop and implement strategies for efficient cash management, maintain relationships with financial institutions, and ensure compliance with regulatory standards. Additionally, they provide strategic financial insights to support the companys long-term objectives
What the role entails Key accountabilities/ responsibilities

1

.

Cash & LiquidityManagement

Oversee daily cash positioning,
ensuring sufficient liquidity for operational
and capital needs.
Develop and maintain accurate
short- and long-term cash flow forecasts.
Manage surplus funds to optimize
interest income.

2. Risk Management

Implement hedging strategies to
mitigate financial risks related to
currency and interest rate
fluctuations.
Monitor compliance with debt
covenants and loan agreements.
Oversee credit insurance
programs to safeguard receivables

3. Banking & InvestmentRelations

Maintain strong relationships
with domestic and international banks and
financial institutions.
Serve as the primary liaison for
cash management services and investment
advisors.
Review and analyze banking and
investment fees to identify cost-saving
opportunities.

4. Strategic Financial Planning

Advise management on liquidity
aspects of short- and long-term strategic planning.
Collaborate with stakeholders on
strategic finance initiatives, including M&A and financing requirements.
Develop and lead treasury
reporting dashboards and track key performance indicators (KPIs).

5. Policy & ComplianceOversight

Establish and maintain efficient
treasury policies and procedures to ensure adequate control and regulatory compliance.

Ensure adherence to applicable laws and internal
controls over treasury activities

6. Operational Excellence


Oversee electronic cash receipt and disbursement
processes.

Enhance and manage direct cash flow forecasting
processes at regional and corporate levels.


Act as the treasury liaison for leasing analyses
related to property, plant, and equipment.

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