We are looking for an experienced Treasury qualified to manage cash operations, liquidity, banking activities, risk management, and treasury process improvements.
Requirements
Mandatory Skills:
â Treasury Operations
â Cash Management
â Cash Flow & Liquidity Management
â Working Capital Management
â Short-term & Long-term Cash Forecasting
â Banking & Fund Raising
â Forex Management & Hedging
â RBI & FEMA Compliance
â Liquidity, Interest Rate & Currency Risk Management
â Treasury Policies & Internal Controls
â Stakeholder Management
📌 Treasury Manager (Chennai)
🏢 Vrinda International
📍 Chennai
Reply to this offer
Impress this employer describing Your skills and abilities, fill out the form below and leave Your personal touch in the presentation letter.