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AGM/DGM - Treasury

  • Mumbai (Maharashtra)

Job ID : 3643 (This vacancy is Closed)

About Company

The company designs advanced material layers used in everything from vehicles to modern architecture, offering protection, comfort, and energy efficiency. Known for its cutting-edge processes and global presence, it delivers high-performance solutions that stand out for their reliability and smart functionality.

Job Description

1. Strategic Treasury Leadership

  • Develop and implement a comprehensive treasury strategy aligned with company financial goals and business objectives.
  • Provide strategic guidance and recommendations to senior management on capital structure, funding, and financial risk management.
  • Drive continuous improvement and innovation within treasury operations, leveraging technology and best practices.

2. Cash Flow and Liquidity Management

  • Forecast daily/weekly/monthly cash flows and maintain adequate liquidity.
  • Manage short-term and long-term investment portfolios to maximize returns while adhering to risk parameters and liquidity needs.
  • Implement and monitor cash pooling and intercompany funding strategies.

3. Working Capital Optimization

  • Collaborate with business and supply chain teams to implement efficiency initiatives.
  • Enhance internal controls over cash and cash equivalents.

4. Banking and Stakeholder Relationships

  • Cultivate and manage strategic relationships with banks, financial institutions, rating agencies, and external financial partners.
  • Negotiate credit facilities, banking services, and financing terms for competitive pricing and adequate financial support.
  • Act as a key point of contact for financial institutions.
  • Secure competitive terms from financial service providers.

5. Reporting & Analysis

  • Provide insightful and actionable treasury reports, analyses, and forecasts to the CFO, Board of Directors, and senior stakeholders.
  • Conduct advanced financial analysis, scenario planning, and stress testing to inform strategic decision-making.

6. Financial Risk Management

  • Formulate and execute policies and strategies for managing FX risk, interest rate risk, and counterparty credit risk.
  • Lead assessment, measurement, and hedging of financial exposures to protect profitability and balance sheet.
  • Implement and monitor robust internal controls and risk frameworks within treasury function.

7. Compliance & Governance

  • Ensure strict adherence to internal treasury policies, corporate governance standards, and regulatory frameworks including FEMA and RBI guidelines.
  • Collaborate with internal audit, legal, and compliance teams to maintain a robust and compliant treasury environment.

Education & Experience: 
Chartered Accountant (CA) / MBA in Finance (Preferred) with 12–15 years of experience into Treasury and related functions.

Mandatory Requirement

Primary Job Profile : Corporate Finance/ Treasury

Technical Skills : Bank relationship mgmt, Cash flow management, Liquidity mgmt, Forex Mgmt

Candidate Industry Requirement: any

Candidate Location Requirement: any

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Education Qualification

  • Chartered Accountant - Qualified CA
  • Post Graduate (MBA/ PGDM/ Others)

Job Type

Full Time

Overview

  • No. Of Vacancy

    1
  • Offered Salary

    Not Disclosed
  • Experience

    12 - 15
  • Industry

    Manufacturing

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