- Manage treasury operations, including cash flow management, funding, and risk assessment.
- Oversee foreign exchange transactions and hedging strategies to minimize risks.
- Ensure compliance with regulatory requirements and internal policies related to treasury activities.
- Develop and maintain relationships with banks, financial institutions, and other stakeholders for liquidity management purposes.
- Analyze market trends and economic indicators to optimize investment decisions.
Preferred candidate profile
- Candidate with 4-5 years are preferred.
- Any graduation
- Location - Western Mumbai.
📌 Treasury Manager (Mumbai)
🏢 Capri Global Capital (CGCL)
📍 Mumbai
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