SB

Senior Treasury Manager

Sbfc Finance
Mumbai3-10 LPA Posted 15 Sept 2025
FULL TIME
Working Capital Management
Cash Flow Forecasting
Fund Raising
Treasury Operations

Job Description

Roles and Responsibilities

  • Manage treasury operations, including cash flow forecasting, fund raising, investor relations, securitization, and working capital management.
  • Oversee front end treasury activities such as deal origination, structuring, and execution of transactions.
  • Ensure effective funds flow management by analyzing financial data to identify trends and opportunities for improvement.
  • Develop strong relationships with stakeholders through regular communication and reporting.

Desired Candidate Profile

  • 8-13 years of experience in Treasury Management or related field (Real Estate industry preferred).
  • Strong understanding of Front End Treasury, Fund Raising, Investor Relations, Funds Flow Management, Securitization & Working Capital Management concepts.
  • Excellent analytical skills with ability to interpret complex financial data.
  • Proven track record of successfully managing multiple projects simultaneously while meeting deadlines.

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