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:
Solid 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 workplace.
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 Karnal
🏢 Michael Page
📍 Karnal
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