Posted:Just now| Platform:
Work from Office
Full Time
We are seeking an experienced and dynamic Treasury professional to manage daily cash flow operations, banking relationships, and compliance activities. The ideal candidate will have a strong background in treasury functions and corporate finance, with a proactive attitude and ability to join immediately. Key Responsibilities Monitor and manage daily cash flows and liquidity across bank accounts Execute and record fund transfers, FX transactions, and inter-company settlements Maintain and reconcile bank statements and treasury reports Manage banking relationships and ensure compliance with internal policies Optimize working capital and forecast short-term and long-term cash flows Support internal audits and financial reporting related to treasury activities Ensure compliance with FEMA, RBI regulations, and other applicable standards Support implementation of treasury systems and process improvements Qualifications and Skills Bachelors or Master’s degree in Finance, Accounting, or a related field 1–3 years of relevant experience in treasury or corporate finance Proficiency in Excel, SAP (or any ERP), and banking portals Strong understanding of cash management, banking operations, and regulatory compliance Excellent analytical, communication, and problem-solving skills Ability to work independently and meet tight deadlines Immediate availability is highly preferred Warm Regards,
Upload Resume
Drag or click to upload
Your data is secure with us, protected by advanced encryption.
3.5 - 4.5 Lacs P.A.
5.0 - 15.0 Lacs P.A.
Experience: Not specified
2.0 - 7.0 Lacs P.A.
3.5 - 4.5 Lacs P.A.
7.0 - 11.0 Lacs P.A.
6.0 - 11.0 Lacs P.A.
4.0 - 9.0 Lacs P.A.
4.0 - 7.0 Lacs P.A.
4.0 - 7.0 Lacs P.A.
7.0 - 14.0 Lacs P.A.