
Accounts And Treasury Executive
5 days ago
Accounts & Treasury Executive
About the Role:
The Treasury Executive is responsible for performing daily treasury operations, including cash/ fund flow management, bank reconciliations, and funding activities, while ensuring sufficient liquidity to support business needs. The role requires a detail-oriented professional with strong analytical skills and proven experience in financial management, banking operations, and regulatory compliance.
Key Responsibilities:
- Prepare cheques, TTs and bank drafts as required to process fund transfer requests in line with banking procedures. Manage funds including interbank and inter-company transfers.
- Posting banking transactions into the accounting system and coordinate with vendors/clients to obtain supporting documentation for such postings.
- Manage repayment of loans and payroll including employee reimbursements and final settlements.
- Liaise with banks for short-term and long-term financing, monitoring the interests and documentation.
- Support loan administration, interest computations, and debt servicing along with related documentation.
- Coordinate with banks for transactions, documentation and resolution of queries.
- Open, maintain, and reconcile bank accounts; manage day-to-day correspondence with banking partners.
- Assist with month end closing activities at a detailed level, ensuring accuracy and timelines.
- Handling placement of Fixed/Term Deposits, monitor accrued interest, and ensure accurate documentation and compliance.
- Prepare and reconcile Income Tax and Goods & Services Tax (GST) on a monthly, quarterly, and annual basis, ensuring alignment between books of accounts and statutory filings, and coordinate timely payments to authorities.
- Support MIS and budgeting processes by providing accurate and timely inputs to senior management.
- Prepare and present management reports and flash reports to highlight key insights and escalate critical issues for timely resolution.
- Maintain accurate treasury records and ensure proper documentation for audits and compliance.
- Collaborate with internal departments (Operations, AP/AR, Others) to ensure seamless coordination and support for treasury operations.
&
- MBA Finance / BBA Finance / CA Inter-qualified.
- Minimum 34 years of relevant experience in Treasury and Finance. Taxation is added advantage.
- Good understanding of banking instruments, cash management, and financial regulations.
- Proficiency in Microsoft Excel and financial software
- Effective communication and interpersonal skills.
- Strong analytical and problem-solving skills.
- High attention to detail, organizational ability, and ability to work under pressure.
-
Treasury Manager
2 weeks ago
Mumbai, Maharashtra, India Executive Search Full time ₹ 5,00,000 - ₹ 8,00,000 per yearTreasury ManagerJob Purpose:The Treasury Manager is responsible for managing the companys liquidity, investments, and risk management related to financial activities. The role involves overseeing cash flow, forecasting, banking relationships, debt management, and ensuring optimal utilization of funds while minimizing financial risks.Key Responsibilities:1....
-
Treasury Manager
5 days ago
Mumbai, India Executive Search Full timeTreasury Manager Job Purpose: The Treasury Manager is responsible for managing the companys liquidity, investments, and risk management related to financial activities. The role involves overseeing cash flow, forecasting, banking relationships, debt management, and ensuring optimal utilization of funds while minimizing financial risks. Key Responsibilities:...
-
Accounts Executive
12 hours ago
Marol, Mumbai, Maharashtra, India Adhaan Solution Pvt. Ltd. Full time**Job Description - Accounts Executive (Treasury)** **Position**: Accounts Executive - Treasury **Experience**: Minimum 3 years **Preferred Gender**: Male **Location**: Marol, Andheri East **Budget**: ₹3.60 - ₹4.00 LPA **Job Summary**: **Key Responsibilities**: - **Cash Flow Management**: - Monitor and manage daily cash flow to ensure liquidity. -...
-
Accounts And Treasury Executive
2 weeks ago
Mumbai, Maharashtra, India Athena Consultants Full time ₹ 15,00,000 - ₹ 28,00,000 per yearAccounts & Treasury ExecutiveAbout the Role:The Treasury Executive is responsible for performing daily treasury operations, including cash/ fund flow management, bank reconciliations, and funding activities, while ensuring sufficient liquidity to support business needs. The role requires a detail-oriented professional with strong analytical skills and proven...
-
Treasury Accountant
7 days ago
Mumbai, India Sbfc Finance Full timeJob Description Roles and Responsibilities - Prepare bank reconciliations, including general ledger account reconciliations, cash reconciliations, and investment reconciliations. - Perform daily treasury operations tasks such as processing payments, managing cash flow, and maintaining accurate records. - Accounting for fund transfers on daily basis. -...
-
Treasury Accountant
1 week ago
Mumbai, Maharashtra, India Sbfc Finance Full timeJob DescriptionRoles and Responsibilities- Prepare bank reconciliations, including general ledger account reconciliations, cash reconciliations, and investment reconciliations.- Perform daily treasury operations tasks such as processing payments, managing cash flow, and maintaining accurate records.- Accounting for fund transfers on daily basis.- Accounting...
-
Treasury Accounts Executive
11 hours ago
Mumbai, Maharashtra, India Navig8 Group Full time**Treasury Accounts Executive-** Experience - 4 to 5 years. **Responsibilities**: - Create the necessary fund transfers to move cash between the group's bank accounts. - Upload daily Fixed Deposit/MMF placements into the cashflow module of the accounting system after reconciling amounts with bank statement flows. - Reconcile daily interest income from...
-
Treasury Executive
2 hours ago
Mumbai, Maharashtra, India Parikh Packaging Full time ₹ 20,00,000 - ₹ 25,00,000 per yearJob Description Treasury (Finance Department)Position Title: Treasury Executive / Manager (based on level)Location: MumbaiDepartment: FinanceRole Objective:To oversee and manage the organizations treasury operations, ensuring effective cash flow management, banking relationships, and compliance with financial and regulatory requirements.Key...
-
Sr Executive- Treasury
3 weeks ago
Mumbai, Maharashtra, India Talent Leads HR Solutions Full timePosition Job Title Proposed Treasury Banking Operations Designation Sr Executive Function F A Department Treasury Reporting To Title Head TreasurySuperiors Superior Title CFOLocation Mumbai Business Renewable EnergyJob description Accounting of all treasury related transaction like Interest and principal repayment Fixed deposit LC mutual fund...
-
Treasury and Accounts
2 weeks ago
Mumbai, India flair writing industries Full timeTaking Care of Daily Bank Status for All Banks - Daily payments of Export Inwards and Imports outward - LC opening of Import Raw material, Brand Guarantee. - Taking care of overall Bank related transactions - Generating invoices and account statements - Process incoming mail concerning billing and invoicing - Initiate collections on past-due accounts -...