We are looking for a seasoned finance professional to lead the treasury function with 12-15 years of experience in cash flow management, liquidity planning, working capital optimization, and financial risk management.
The role involves building strong relationships with banks and financial institutions, negotiating credit facilities, and ensuring compliance with FEMA, RBI, and corporate governance standards.
The ideal candidate is a CA / MBA (Finance) with proven expertise in financial modelling, debt negotiation, strategic treasury planning, and regulatory compliance, along with strong leadership, stakeholder management, and problem-solving skills.
Roles & Responsibilities
(ref : iimjobs.com)
Head Treasury • Mumbai, India