Summary: Exciting opportunity for a Corporate Treasury professional with 5+ years of experience in Treasury Management in Mumbai. Join a prestigious organization and take your career to new heights.
Location: Mumbai
Your Future Employer: You will be part of a leading organization known for its commitment to diversity, equality, and inclusion.
Responsibilities
Develop and implement treasury strategies to optimize cash flow
Manage liquidity, investments, debt, and capital structure
Oversee risk management and compliance with regulations
Build relationships with banks, financial institutions, and internal stakeholders
Requirements
Bachelor's degree in Finance, Accounting, or related field
5+ years of experience in corporate treasury, cash management, and funding
Proficiency in treasury management systems and financial software
Strong analytical, communication, and interpersonal skills
What's in it for you
Competitive compensation package
Opportunity to work with a diverse and inclusive team
Exposure to strategic decision-making and global operations
Career advancement and skill development opportunities
Reach us: If you feel this opportunity is well aligned with your career progression plans, please feel free to reach out with your updated profile at sonaly.sharma@crescendogroup.in
Disclaimer: Crescendo Global specializes in Senior to C-level niche recruitment. We are passionate about empowering job seekers and employers with an engaging memorable job search and leadership hiring experience. Crescendo Global does not discriminate on the basis of race, religion, color, origin, gender, sexual orientation, age, marital status, veteran status or disability status.
Note: We receive a lot of applications on a daily basis, so it becomes a bit difficult for us to get back to each candidate. Please assume that your profile has not been shortlisted in case you don't hear back from us in 1 week. Your patience is highly appreciated.
Profile keywords: Corporate Treasury,Treasury Compliances,Treasury Operations,Liquidity Management,cash forcasting,Cash flow Management,Fund Management,Banking Reconcilations,Banking Relations,Intercompany Transactions,Payment Processing.