
Description:
Work Mode: Hybrid
Overview:
We are looking for a seasoned treasury leader who brings strong banking expertise, deep operational understanding, and the ability to collaborate across global stakeholders. This is a high-visibility role that directly supports Organization's portfolio companies and plays a critical part in enhancing our global liquidity, governance and banking infrastructure.
Key Responsibilities:
- Lead and manage day-to-day treasury operations, liquidity planning and cash flow forecasting
- Strengthen and manage relationships with global and Indian banking partners
- Oversee bank account lifecycle, treasury controls and compliance
- Design and manage the corporate card program for India
- Support global cash and liquidity reporting across funds and asset classes
- Manage FX and interest rate risks in line with global policies
- Partner with global leaders (Finance India, US and Europe) to build an integrated treasury model
What Were Looking For:
- 15+ years of treasury operations experience, including leadership responsibilities
- Strong understanding of Indian banking operations, KYC governance and global treasury processes
- Experience working in shared services or multi-regional treasury setups
- Hands-on expertise with treasury workstations (Ion/WSS preferred)
- Proven ability to collaborate across global teams in a fast-paced environment
- Exceptional stakeholder management, analytical and communication capabilities
- Background from global enterprises, professional services firms, real-estate services, or international banks is preferred
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