- The role is responsible for managing FOREX Exposure, International Banking, Cash Flow Management, supervising daily operations in Trade/Banking (LCs, BGs), Treasury Operations, including processes re-engineering and reviewing operations efficiency.
Client Details
Our client is a fast growing company with international operations.
Description
- FX Hedging, Risk Management, FOREX exposure
- Banking Relationships (domestic + international)
- Knowledge of international market and standards related to treasury management, payment gateways, banking etc
- Routine Treasury operations - fund management, trade finance (LCs/BGs etc), credit lines
Profile
- An ideal candidate should have 8-12 years of relevant experience.
- Candidate from banking plus industry experience will be preferred.
Education - MBA/CA or person with relevant Treasury exposure.
Job Offer
An opportunity to lead Treasury Operations of a fast growing organisation with domestic as well as international operations.
To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact Nikhil Yadav on +91 124 452 5433.
Contact - Nikhil Yadav - +91 124 452 5433
The Apply Button will redirect you to website. Please apply there as well.