Posted by
Posted in
Banking & Finance
Job Code
1705222
Key Responsibilities:
Treasury & Liquidity Management:
- Develop and execute the organization's global treasury strategy to optimize liquidity, capital efficiency, and financial risk management.
- Manage treasury operations involving portfolios or transactions valued between USD 2030 billion.
- Monitor daily cash positions and ensure adequate liquidity across business units and geographies.
- Forecast short-term and long-term cash flow requirements and implement effective funding strategies.
Foreign Exchange & Risk Management:
- Design and implement foreign exchange (FX) hedging strategies to mitigate currency risks.
- Manage exposure across multiple currencies and international markets.
- Monitor market trends, interest rates, and foreign exchange movements to support informed treasury decisions.
- Ensure compliance with treasury risk management policies and regulatory requirements.
Investments & Capital Management:
- Identify and execute short-term investment opportunities for surplus funds while maintaining liquidity and risk parameters.
- Manage investment portfolios and optimize returns on excess capital.
- Evaluate funding alternatives and capital deployment strategies to support business growth.
Banking & Financial Institutions Management:
- Build and maintain strong relationships with domestic and international banking partners.
- Negotiate banking facilities, credit lines, investment products, and treasury services.
- Oversee bank account structures, cash pooling arrangements, and treasury systems.
Treasury Technology & Operations:
- Drive treasury transformation initiatives and enhance operational efficiency through automation and technology adoption.
- Oversee treasury-related systems, financial reporting, and data management processes.
- Collaborate with technology and infrastructure teams to ensure robust treasury system integration and data center financial governance.
Compliance & Governance:
- Ensure compliance with corporate treasury policies, financial regulations, and statutory requirements.
- Develop internal controls and governance frameworks for treasury operations.
- Support internal and external audits and provide treasury-related insights to senior leadership and board members.
Required Skills:
- Extensive expertise in Forex Hedging and Currency Risk Management.
- Strong experience handling multi-currency treasury operations across global markets.
- Proven experience managing treasury portfolios or transactions in the range of USD 2030 billion.
- Expertise in liquidity management, cash forecasting, and short-term investments.
- Strong understanding of banking products, debt instruments, and capital markets.
- Experience with treasury management systems and financial technologies.
- Knowledge of data center financial operations and infrastructure-related treasury management.
- Excellent analytical, strategic planning, negotiation, and stakeholder management skills.
Qualifications:
- Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field.
- MBA (Finance), CA, CFA, CPA, CTP, or equivalent professional qualification preferred.
- 12+ years of progressive experience in treasury, corporate finance, or banking functions.
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Posted by
Posted in
Banking & Finance
Job Code
1705222