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Job Views:  
418
Applications:  91
Recruiter Actions:  14

Job Code

1605812

UPL - Associate Lead - Treasury

UPL Limited.5 - 10 yrs.Mumbai
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4.1

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2,861+ Reviews

Posted 3 months ago
Posted 3 months ago
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4.1

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2,861+ Reviews

Job description

Role Overview

We are seeking a strategic and detail-oriented Treasury Risk Manager (job title : Associate lead - Treasury) to join our treasury team in Mumbai. This role is responsible for identifying and managing financial risks, supporting treasury operations, and ensuring compliance with internal and external requirements. The ideal candidate will bring deep expertise in international treasury operations, financial modeling, and risk management, with hands-on experience using Kyriba.

Key Responsibilities

- Identify, assess, and manage treasury-related risks, including foreign exchange and interest rate exposures.

- Track hedge ratios and ensure timely and accurate reporting of Value at Risk (VaR).

- Ensure robust internal controls and compliance across all treasury activities, with accountability for finance cost control.

- Prepare financial models to stress test various hedging strategies and assess their effectiveness.

- Support negotiations for working capital and FX credit facilities.

- Prepare financial models to stress test various hedging strategies and assess their effectiveness.

- Monitor hedge performance and ensure compliance with internal policies and regulatory requirements.

- Maintain and enhance treasury policies, procedures, and systems to align with evolving business needs.

- Lead or support the implementation and continuous improvement of Treasury Management Systems (TMS), with a focus on Kyriba.

Qualifications

- CA (Chartered Accountant) or CFA (Chartered Financial Analyst) qualification is required.

- 5+ years of experience in International Treasury, with a strong focus on risk management and financial operations.

- Hands-on experience with Kyriba or similar Treasury Management Systems.

- Deep understanding of financial risk management, derivatives, and hedging strategies.

- Proficiency in financial modeling and data analysis (Excel, Power BI, or similar tools).

- Excellent communication, leadership, and problem-solving skills.

Preferred Qualifications

- Experience in a multinational or complex corporate environment.

- Knowledge of regulatory frameworks related to treasury and financial risk.

What We Offer

- Competitive compensation and benefits package.

- Opportunities for professional development and career progression.

- A collaborative and innovative work environment.

- Flexible working arrangements.

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Job Views:  
418
Applications:  91
Recruiter Actions:  14

Job Code

1605812

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