About Our Client A financial services organisation operating in the retail banking and loans sector in Gurgaon.
- Manage daily treasury operations and cash flow.
- Oversee funding and liquidity management activities.
- Ensure compliance with financial regulations and internal policies.
- Work with banks and financial institutions for funding requirements.
- Prepare and review treasury reports and forecasts.
- Monitor market trends and assess risks related to treasury activities.
- Support investment decision-making and portfolio management.
- Collaborate with internal teams to optimise financial strategies.
The Successful Applicant
We're looking for someone who has:
- Strong understanding of treasury operations and financial management.
- Experience in retail banking or loans.
- Knowledge of financial regulations and compliance.
- Good analytical and problem-solving skills.
- Confidence in working with financial tools and systems. What's on Offer - A permanent role in the financial services sector.
- Chance to work in a retail banking and loans environment.
- Be N-1 to the CFO and work closely with the MD If you're interested in this role, feel free to apply.
📌 AVP-Treasury (Hisar)
🏢 Michael Page
📍 Hisar
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