22 Sep
|
RENEW
|
Gurugram
Roles and Responsibilities :
- Manage cash flow forecasting, liquidity risk, and investment strategies to optimize returns on investments.
- Oversee banking operations, including payments, collections, reconciliations, and transaction banking.
- Develop and implement treasury policies and procedures to ensure compliance with regulatory requirements.
- Analyze financial data to identify trends and opportunities for improvement in treasury functions.
Job Requirements :
- 10-20 years of experience in Treasury Management or related field.
- Solid understanding of banking operations, cash flow management, interest rate risk, liquidity management, and liquidity risk.
- Proven track record in developing effective treasury strategies that drive business growth.
📌 Treasury Manager (Gurugram)
🏢 RENEW
📍 Gurugram