Drive Financial Stability as Our Treasury Manager!.
Soul AI is a pioneering company founded by IIT Bombay and IIM Ahmedabad alumni, with a strong founding team from IITs, NITs, and BITS.
We specialize in delivering high-quality human-curated data, AI-first scaled operations services, and more.
Based in Hyderabad, we are a young, fast-moving team on a mission to build AI for Valuable, driving innovation and positive societal impact.- We are seeking a Treasury Manager to manage cash flow, investments, and financial risk for the organization.
You will be responsible for optimizing the companys liquidity, ensuring financial stability, and overseeing treasury operations.
- Key Responsibilities:. Manage cash flow and liquidity to ensure operational efficiency.
- Oversee banking relationships, financial transactions, and risk management strategies.
- Develop and implement cash management strategies to optimize working capital.
- Prepare short-term and long-term financial forecasts.
- Ensure compliance with treasury policies and regulations.
- Key Skills & Experience:. Proven experience in treasury management or finance roles.
- Strong understanding of cash management, investment strategies, and financial risk.
- Proficiency in treasury management systems and financial software.
- Excellent problem-solving, analytical, and communication skills.
- Why Join Us. Competitive pay (Up to ‚1200/hour).
- Flexible hours.
- Remote opportunity. NOTEPay will vary by project and typically is up to Rs.
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📌 Treasury Manager (Freelancer) (Delhi)
🏢 Soul AI
📍 Delhi
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