29 Sep
|
Hector and Streak Consulting
|
Mumbai
29 Sep
Hector and Streak Consulting
Mumbai
Roles and Responsibilities
- Manage cash flow forecasting, fund raising, and liquidity management for the company.
- Oversee banking operations, including treasury functions such as FX, interest rate risk, and commodity hedging.
- Develop strategies to optimize working capital utilization and minimize costs.
- Ensure compliance with regulatory requirements related to treasury activities.
Desired Candidate Profile
- 7-12 years of experience in Treasury Management or a related field.
- Robust understanding of Cash Flow, Fund Raising, Liquidity Management, Banking Operations, and Treasury functions.
- Proven track record of developing effective treasury strategies that drive business results.
Interested Candidates may share their updated resumes to
[email protected] with following details for further process:
- Current CTC -
- Expected CTC -
- Notice Period -
- Qualification -
- Reason for Job change -
📌 Manager Treasury - Mumbai
🏢 Hector and Streak Consulting
📍 Mumbai