Talent.com
No longer accepting applications
Treasury Specialist

Treasury Specialist

JK Fenner (India) LtdDelhi, IN
2 days ago
Job description

J.K. Fenner (India) Limited is looking for a Treasury Specialist - Chennai

Who we are

J.K. Fenner (India) Limited is a part of the renowned JK Organization. We have been an undisputed market leader in India for over 70 years. Complete solution in Power Transmission, Sealing and Vibration Control to both Automotive and Industrial Automation. We are pleased to announce that JK Fenner is currently seeking experienced professionals to join our dynamic team. As a leader in the industry, we are committed to fostering a culture of innovation, collaboration, and growth. To learn more, visit : https : / / jkfenner.com /

Why don't you join us? Do you want to experience new challenges and innovate the future of Automotive and Industrial Automation Solutions? Accelerate your career with JK Fenner.

Position Details

Role : Treasury Specialist

Location : Chennai

Education : A Master's degree in Finance, Accounting, Economics, or a related field is often preferred. Professional certifications such as a CFA may also be desirable.

Experience : 5–10+ years of hands-on treasury experience, with expertise in cash flow forecasting, liquidity planning, and risk management. Experience in a listed company or global treasury operations can be a plus.

Technical Skills : Proficiency with Treasury Management Systems (TMS), Enterprise Resource Planning (ERP) platforms, and data visualization tools. Advanced Excel and financial modeling skills are also essential.

Soft Skills : Strong analytical, problem-solving, and communication skills. Leadership, strategic thinking, adaptability, and the ability to collaborate effectively with various stakeholders are crucial for success.

Job Description

Cash and Liquidity Management :

  • Oversee daily cash management, positioning, and reconciliation activities to ensure optimal liquidity.
  • Develop and manage short-term and long-term cash flow forecasts and budgets.
  • Identify opportunities to optimize cash balances and manage intercompany cash.
  • Drive initiatives to improve working capital management across the business.

Risk Management :

  • Identify, monitor, and mitigate financial risks, including foreign exchange (FX), interest rate, and credit risks.
  • Develop and implement effective hedging strategies to mitigate currency fluctuations.
  • Ensure compliance with internal policies and external regulations related to financial risk.
  • Banking and Financial Relationships :

  • Manage and maintain relationships with banks and financial institutions, negotiating terms, fees, and credit lines.
  • Oversee bank account administration, including opening, closing, and updating signatory authorities.
  • Collaborate with internal audit to ensure strong governance and proper documentation.
  • Investment and Debt Management :

  • Manage the organization's debt portfolio, ensuring covenant compliance and providing analysis on capital structure.
  • Oversee the investment of excess cash, aiming to maximize returns within the company's risk tolerance.
  • Recommend investment opportunities and financing strategies to senior management.
  • Reporting and Analysis :

  • Prepare and present financial reports, forecasts, and budgets to senior management and other stakeholders.
  • Conduct financial analysis to provide insights and support strategic decision-making.
  • Support internal and external audits by providing necessary documentation and information.
  • Join us and be part of a forward-thinking organization dedicated to excellence.

    Create a job alert for this search

    Treasury Specialist • Delhi, IN

    Related jobs
    • Promoted
    Treasury Specialist

    Treasury Specialist

    Live ConnectionsDelhi, India
    Prepare monthly divisional cash forecasts and partner with local finance teams on preparation and analysis Anticipate short term capital needs within business units and allocate funding based off T...Show moreLast updated: 10 days ago
    • Promoted
    Treasury Operations Specialist

    Treasury Operations Specialist

    Aptia GroupDelhi, India
    This position is for a developing professional individual contributor in Treasury Operations who works under moderate supervision. The role will support bank operations and implement cash management...Show moreLast updated: 4 days ago
    • Promoted
    Treasury Specialist

    Treasury Specialist

    JK Fenner (India) LtdDelhi, India
    Fenner (India) Limited is looking for a Treasury Specialist - Chennai.Fenner (India) Limited is a part of the renowned JK Organization. We have been an undisputed market leader in India for over 70 ...Show moreLast updated: 2 days ago
    • Promoted
    Treasury Specialist - Assistant Manager

    Treasury Specialist - Assistant Manager

    Live ConnectionsDelhi, India
    Prepare monthly divisional cash forecasts and partner with local finance teams on preparation and analysis.Anticipate short term capital needs within business units and allocate funding based off T...Show moreLast updated: 10 days ago
    • Promoted
    Associate Transaction Services

    Associate Transaction Services

    CohnReznickDelhi, IN
    The Transaction Advisory Services team, part of Cohn Reznick Professional Services’ Advisory (“CRPS Advisory”), manage and supports buy-side and sell-side transaction advisory engagements, providin...Show moreLast updated: 13 days ago
    • Promoted
    • New!
    Treasury Analyst - APAC

    Treasury Analyst - APAC

    TagGurugram, Haryana, India
    The APAC Treasury Analyst is responsive for all banking, Treasury and cash flow management matters for all operating entities of APAC region. APAC Cashflow forecast consolidation as per the Global r...Show moreLast updated: 14 hours ago
    • Promoted
    SAP Treasury Consultant

    SAP Treasury Consultant

    Agile Technology Solutions - Your Technology PartnerDelhi, India
    SAP Cash Management / Treasury – Senior Consultant Experience Requirements.Only Serving Notice Period Candidates Prefer.SAP Cash Management and Treasury. S / 4HANA Cash Management, BCM, FSCM, and Trea...Show moreLast updated: 9 days ago
    • Promoted
    SAP FICO Treasury Consultant

    SAP FICO Treasury Consultant

    PALNARDelhi, IN
    Job Role : SAP FICO Treasury Consultant.Location : Remote Role (India Based) with Travel to Dubai.Duration : 10 months- 2 years contract. This role is primarily for India with occasional travel during ...Show moreLast updated: 12 days ago
    • Promoted
    Treasury Analyst- 4 to 6 years of Experience (2 years in treasury operations)

    Treasury Analyst- 4 to 6 years of Experience (2 years in treasury operations)

    Marmon Technologies India Pvt LtdDelhi, India
    About The Role We are looking for a detail-oriented Treasury Analyst to join our Corporate Treasury team in Bangalore.The Treasury Analyst will support day-to-day treasury activities, including pay...Show moreLast updated: 18 days ago
    • Promoted
    Analyst - Treasury [T500-20590]

    Analyst - Treasury [T500-20590]

    MUFGDelhi, India
    About Us : Mitsubishi UFJ Financial Group, Inc.MUFG) is one of the world’s leading financial groups.Headquartered in Tokyo and with over 360 years of history, MUFG has a global network with over 2,7...Show moreLast updated: 30+ days ago
    • Promoted
    SAP Treasury

    SAP Treasury

    Tata Consultancy ServicesDelhi, India
    TCS is Hiring For SAP Treasury Consultant.Able to handle SAP S4Hana-TRM module implementation.Knowledge in : to create global cash visibility in real-time. Centralize bank relationship management in ...Show moreLast updated: 30+ days ago
    • Promoted
    • New!
    Associate - Treasury Associate - Gurugram

    Associate - Treasury Associate - Gurugram

    BDO IndiaGurugram, Haryana, India
    Managing banking payments for the Indian and International vendors,.Knowledge of GST and TDS compliances,.Good communication (both verbal and written). Resolution of vendors queries,.Vendors reconci...Show moreLast updated: 14 hours ago
    • Promoted
    Senior Treasury Manager

    Senior Treasury Manager

    InfinxDelhi, India
    The organization is a technology-driven provider of specialized solutions for Healthcare Revenue Cycle Management, empowering clients through advanced analytics and process automation.Focused on op...Show moreLast updated: 4 days ago
    • Promoted
    Treasury Specialist

    Treasury Specialist

    Delta Electronics IndiaDelhi, India
    MBA Finance / CA Experience : -.MBA finance – 4-5 years; CA – 2-3 years Industry : -.Manufacturing industry (not from Service industry-IT or ITES) Location : -. Knowledge of Working Capital concept, ma...Show moreLast updated: 2 days ago
    • Promoted
    SAP FICO + Treasury Architect

    SAP FICO + Treasury Architect

    BITVERGE TECHNOLOGY AND CONSULTING PRIVATE LTDDelhi, IN
    We are seeking a highly experienced.Financial Accounting, Controlling, and Treasury solutions within SAP.The candidate will act as the primary finance technology adviser for business stakeholders, ...Show moreLast updated: 16 days ago
    • Promoted
    • New!
    Assistant Treasury Manager

    Assistant Treasury Manager

    IndifiGurugram, Haryana, India
    Daily Cash flow planning & management.Updation of daily bank balances, payments and collections numbers from bank account statements. Investment (including FD, MFs etc)– Ensure timely investments an...Show moreLast updated: 7 hours ago
    • Promoted
    Treasury Analyst [T500-20531]

    Treasury Analyst [T500-20531]

    ARKO Corp. (NASDAQ : ARKO)Delhi, India
    ANSR is the market leader in enabling organizations to build, manage and scale global teams through Global Capability Centers (GCCs). Global Capability Centers act as strategic business partners to ...Show moreLast updated: 30+ days ago
    • Promoted
    • New!
    Treasury Middle Office

    Treasury Middle Office

    Crossing HurdlesDelhi, India
    We are hiring for Wipro Enterprises.Currently, they are looking for a candidate to independently manage the Treasury Middle Office function. Responsibilities : A) Track treasury workflow and exposure...Show moreLast updated: 8 hours ago