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Finance Manager - Treasury and Accounts Payable

Finance Manager - Treasury and Accounts Payable

ConfidentialBengaluru / Bangalore, India
3 days ago
Job description

Job Title : Manager – Finance

Experience Required : 3 to 5 years post-qualification

Location : Bangalore

Department : Finance

Designation : Manager

Reporting To : Finance Controller

Role Overview :

We are seeking a qualified Chartered Accountant (CA) with 3–5 years of post-

qualification experience to join our finance team as a Manager for Treasury, Payroll and

Accounts Payables. The role will be responsible for overseeing treasury operations,

employee related payments (payroll, reimbursements etc.), vendor management, and

payables, along with ensuring accurate accounting, compliance, and process efficiency.

The position also involves managing provisions, prepaids, and fixed assets, while

driving process improvements and SOP adherence.

Key Responsibilities :

1. Treasury Management

 Manage day-to-day fund flow, cash management, and bank reconciliations.

 Ensure optimal utilization of available funds and maintain liquidity for operational

requirements.

 Coordinate with banks for treasury operations, investment management, and

other financial arrangements.

 Monitor and report on daily, weekly, and monthly cash positions.

2. Payroll & Employee Payments

 Oversee monthly payroll processing in coordination with HR, ensuring accuracy

and timely disbursement.

 Handle full and final settlements, reimbursements, and other employee-related

payments.

 Ensure compliance with statutory requirements such as PF, ESI, TDS, and other

labor laws.

 Reconcile payroll-related accounts and prepare required reports for management

and auditors.

3. Accounts Payable & Vendor Management

 Supervise invoice processing, validation, and timely payment cycles.

 Maintain effective communication and relationships with vendors to ensure

smooth operations.

 Oversee quarterly balance confirmations and reconciliations with key vendors.

 Ensure proper accounting of provisions and prepayments.

 Monitor the fixed asset register, capitalization, depreciation, and disposals.

4. Compliance & Audit Support

 Support internal and statutory audits by preparing relevant schedules and

reconciliations.

 Ensure adherence to company policies, internal controls, and accounting

standards.

 Track compliance deliverables and ensure timely completion of related activities.

5. Process Improvement & Controls

 Develop, circulate, and maintain Standard Operating Procedures (SOPs) for all

finance processes under scope.

 Identify process gaps and implement automation or efficiency improvements.

 Ensure strict adherence to SOPs and promote a culture of control and

compliance within the finance team.

Key Skills &Competencies :

 Strong knowledge of treasury operations, payroll accounting, and accounts

payable.

 Excellent analytical and reconciliation skills with attention to detail.

 Proficiency in MS Excel and ERP systems (e.g., SAP, Oracle, Tally, NetSuite).

 Hands on experience of accounting in Zohobooks is desired.

 Sound understanding of accounting standards, statutory compliance, and audit

procedures.

 Effective communication and stakeholder management skills.

 Ability to manage multiple priorities in a dynamic environment.

Qualification :

 Chartered Accountant (CA) with 3 to 5 years of post-qualification experience in

corporate finance, treasury, payroll, or payables functions — preferably within an

IT products or solutions company.

Skills Required

Tally, Ms Excel, Sap, Payroll Accounting, Accounts Payable, Treasury Operations, Netsuite, Oracle

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Manager Treasury • Bengaluru / Bangalore, India