Posted by
Posted in
Banking & Finance
Job Code
1710038

Position: Treasury Manager / Treasury Operations
Company: Intellect Design Arena
Location: Chennai (Work From Office)
Experience: 8+ Years
Interview Process: Virtual
Mandatory Skills:
- Treasury Operations
- Cash Management
- Cash Flow & Liquidity Management
- Working Capital Management
- Cash Forecasting (Short-term & Long-term)
- Banking & Fund Raising
- Forex Management & Hedging
- RBI & FEMA Compliance
- Risk Management (Liquidity, Interest Rate & Currency)
- Treasury Policies & Internal Controls
- Stakeholder Management
Preferred Background:
- IT Services / FinTech / Product Companies
- Experience with Treasury Management Systems (TMS)
- Exposure to M&A, Investments, or Global Treasury Operations is an added advantage.
Key Responsibilities:
- Manage daily cash flows, liquidity, and working capital.
- Prepare and monitor cash forecasts.
- Handle banking relationships and funding activities.
- Manage forex exposure and hedging strategies.
- Ensure compliance with RBI, FEMA, and banking regulations.
- Implement treasury controls and support audits.
- Partner with finance, tax, legal, and business teams.
- Drive treasury process improvements and automation.
Candidates with strong experience in Treasury Operations and Cash Management will be preferred. Apply if you meet the mandatory skills and are open to Chennai (WFO).
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Posted by
Posted in
Banking & Finance
Job Code
1710038