We are seeking a skilled Treasury Manager to oversee our organization's cash flow, investment portfolio, and financial risk. You'll play a critical role in optimizing liquidity, maintaining financial stability, and leading treasury operations for long-term success.
Responsibilities
- Manage cash flow and ensure liquidity for operational efficiency
- Oversee banking relationships, transactions, and risk mitigation strategies
- Develop and implement cash management plans to optimize working capital
- Prepare both short-term and long-term financial forecasts
- Ensure compliance with internal treasury policies and financial regulations
Key Skills & Experience
Proven experience in treasury management or financial planning rolesStrong understanding of investment strategy, risk management, and cash flow operationsProficiency in treasury management systems and financial softwareExcellent analytical, problem-solving, and communication abilitiesWhy Join Us
Competitive hourly compensation (up to ₹1,200 / hour; project-based)Flexible hours to suit your scheduleFully remote role—work from anywhereSkills Required
Freelancing, Cash Management, investment strategies, Treasury Management, Financial Risk