ME

Manager- Treasury Operations

Mee 2 Bee Smart Services
Mumbai3-5 LPA Posted 9 Sept 2025
FULL TIME
Cash Flow Management
Communication Skills
Analytical Skills
Forecasting
Risk Management

Job Description

  • Cash Management:Monitor and manage the organization's cash flow, ensuring adequate liquidity for daily operations and future financial obligations
  • Forecast cash needs, manage banking relationships, and optimize cash positions
  • Financial Risk Management:Identify, assess, and manage financial risks, including foreign exchange risk, interest rate risk, and market risks
  • Develop and implement risk mitigation strategies to safeguard the organization against potential financial losses
  • Banking and Investment Management:Oversee bank account management, including opening/closing accounts, negotiating terms, and optimizing banking services
  • Manage investment portfolios, assess investment opportunities, and execute investment strategies
  • Debt and Capital Management:Manage debt facilities, including loans, credit lines, and bonds, ensuring compliance with covenants and optimizing borrowing costs
  • Assist in capital structure decisions, including equity issuances and capital allocation strategies
  • Compliance and Reporting:Ensure compliance with regulatory requirements, accounting standards, and internal policies related to treasury operations
  • Prepare financial reports, forecasts, and presentations for senior management or external stakeholders
  • Treasury Technology and Process Improvement:Evaluate and implement treasury management systems (TMS) or financial technologies to streamline processes and enhance efficiency
  • Identify opportunities for process improvement and automation within treasury functions
  • Skills and Qualifications:Financial Acumen: Strong knowledge of financial markets, banking products, and treasury instruments
  • Risk Management: Experience in assessing and mitigating financial risks, hedging strategies, and derivative instruments
  • Cash Flow Management: Ability to forecast cash needs, optimize liquidity, and manage banking relationships
  • Regulatory Compliance: Understanding of financial regulations, accounting standards, and compliance requirements
  • Analytical Skills: Capability to analyze financial data, perform scenario analysis, and make informed decisions
  • Communication Skills: Effective communication and presentation abilities for reporting and stakeholder engagement

Join WhatsApp Channel