Executive – Treasury

18 hours ago


Bengaluru, India EMBARKGCC SERVICES PRIVATE LIMITED Full time

Job Description Role Overview: The Treasury Executive is responsible for managing the cash flow, liquidity, and financial risk. The role involves overseeing daily cash management, maintaining banking relationships, forecasting cash requirements, and ensuring the company has adequate funds for its operations and strategic initiatives. The Treasury Executive plays a crucial part in supporting business growth by ensuring efficient management of funds while minimizing financial risks. Key Responsibilities: Cash Management: Monitor and manage daily cash positions to ensure liquidity and availability of funds. Prepare daily cash position reports, highlighting the company's available cash balances, and forecast future cash needs. Execute and manage Intercompany fund transfers to meet operational needs. Optimize the use of the company’s cash resources while ensuring compliance with company policies. Cash Forecasting & Liquidity Management: Prepare weekly/monthly cash flow forecasts to ensure the business has adequate working capital. Analyze historical cash flow trends and coordinate with other departments (e.g., Accounts Payable, Accounts Receivable) to predict future cash requirements. Monitor cash usage and coordinate with senior management to identify and address cash flow gaps. Banking & Financial Relationships: Manage and maintain relationships with financial institutions, ensuring favorable terms for banking services and financing. Negotiate terms and rates with banks, including credit facilities, lines of credit, and loans. Coordinate with banks on day-to-day operations, such as managing accounts, processing payments, and ensuring the timely clearance of transactions. Payments & Funding: Oversee the execution of payments, including vendor payments, Intercompany transactions, and external financing. Ensure timely settlement of liabilities and optimize payment processing through the use of electronic banking tools. Handle short-term borrowing or funding arrangements to meet operational or strategic needs, ensuring minimal cost. Treasury Reporting: Prepare accurate and timely reports on cash positions, liquidity, funding status, and treasury-related activities for senior management and auditors. Maintain treasury records and documents in compliance with regulatory and audit requirements. Assist in month-end and year-end closing activities related to treasury operations. Compliance & Controls: Ensure compliance with financial regulations, company policies, and internal controls related to treasury activities. Collaborate with internal and external auditors to facilitate audits of treasury operations. Continuously review and improve treasury policies and processes to enhance efficiency and mitigate risk. Requirements Skills & Qualifications: Education: A bachelor’s degree in Finance, Accounting, Economics, or a related field. A master's degree or professional certifications is a plus. Experience: Minimum 1-3 years of experience in treasury, finance, or accounting roles, with exposure to cash management, banking, or financial risk management. Skills: Proficiency in Microsoft Excel (advanced functions like pivot tables, VLOOKUP, financial modeling). Knowledge of banking products, liquidity management, and treasury functions. Excellent communication and negotiation skills, especially in dealing with banks and financial institutions. Attention to detail and ability to work under pressure. Desired Traits: Proactive and self-driven, with a keen eye for identifying opportunities for process improvement. Strong team player with the ability to collaborate effectively across departments. High level of integrity and accountability in managing financial resources. Ability to work independently and manage multiple tasks in a fast-paced environment. Working Conditions: Location: Office-based. Position: Full-time. Working Hours: Standard office hours with potential for overtime during month-end or year-end closing periods. Requirements Cash Management, Forecasting and Liquidity Management, Banking, Payment and funding, reporting, compliance


  • Executive – Treasury

    18 hours ago


    Bengaluru, India EMBARKGCC SERVICES PRIVATE LIMITED Full time

    Role Overview: The Treasury Executive is responsible for managing the cash flow, liquidity, and financial risk. The role involves overseeing daily cash management, maintaining banking relationships, forecasting cash requirements, and ensuring the company has adequate funds for its operations and strategic initiatives. The Treasury Executive plays a crucial...

  • Treasury Specialist

    7 days ago


    Bengaluru, India Leadspire Consulting Pvt. Ltd. Full time

    Job Title: Treasury Support Designation: Senior Executive Experience: 2–5 yearsCTC: 8-10 LPALocation: Malad West, MumbaiCompany: LeadSpire Consulting Pvt. Ltd.About the RoleLeadSpire Consulting Pvt. Ltd. is seeking a detail-oriented and proactive professional to join our Finance team as a Treasury Support Executive / Associate. The role will primarily...

  • Treasury Analyst

    2 weeks ago


    Bengaluru, Karnataka, India ETG Full time ₹ 12,00,000 - ₹ 24,00,000 per year

    This role supports the Treasury function by coordinating with banks, managing loan and trade structures, and ensuring operational execution of treasury strategies. The candidate will work closely with internal stakeholders and the back office to ensure smooth treasury operations and compliance.KEY RESPONSIBILITIESBank Coordination & Trade StructuresSupport...

  • Treasury Specialist

    5 days ago


    Bengaluru, India Live Connections Full time

    Prepare monthly divisional cash forecasts and partner with local finance teams on preparation and analysis Anticipate short term capital needs within business units and allocate funding based off Treasury’s best practices Lead cross border intercompany settlements Assist with cash repatriation planning and MA funding Maintain global investments in Kyriba...

  • Treasury Lead

    4 weeks ago


    Bengaluru, India TransFi Full time

    About TransFiTransFi powers the world’s payments, helping businesses and individuals access better ways to move money. Combining industry-leading coverage of currencies and payment methods, we deliver compliant payouts, collections, and ramp services across Asia, Europe, LatAm, Africa, and North America. In our pursuit to advance economic prosperity...

  • Treasury Lead

    4 weeks ago


    Bengaluru, India TransFi Full time

    About TransFiTransFi powers the world’s payments, helping businesses and individuals access better ways to move money. Combining industry-leading coverage of currencies and payment methods, we deliver compliant payouts, collections, and ramp services across Asia, Europe, LatAm, Africa, and North America. In our pursuit to advance economic prosperity...

  • Treasury Manager

    2 weeks ago


    Bengaluru, Karnataka, India Booking Holdings Full time ₹ 12,00,000 - ₹ 36,00,000 per year

    Role Description:The Treasury Manager - Back Office will oversee key Treasury processes, in particular, and not limited to Banking Administration (KYC Management, Signatory Management and Audit Support) and as well as Electronic Banking Administration (User Access Management, Banking Platform Management and Access Governance & Compliance) and other Treasury...

  • Treasury Analyst

    2 weeks ago


    Bengaluru, Karnataka, India Google Full time ₹ 12,00,000 - ₹ 36,00,000 per year

    Minimum qualifications:Bachelor's degree in Accounting or Finance, or equivalent practical experience.4 years of experience in Treasury, payments or finance operations.Experience with Indian banking systems and regulations.Preferred qualifications:MBA degree.Experience in financial modeling.Understanding of treasury systems and how they support business...

  • Treasury Analyst

    1 week ago


    Bengaluru, Karnataka, India Google Full time

    Minimum qualifications:Bachelor's degree in Accounting or Finance, or equivalent practical experience.4 years of experience in Treasury, payments or finance operations.Experience with Indian banking systems and regulations.Preferred qualifications:MBA degree.Experience in financial modeling.Understanding of treasury systems and how they support business...

  • Treasury accountant

    4 days ago


    Bengaluru, India HCLTech Full time

    Key Responsibilities: Support the Summit to Murex transition for accounting workflows and treasury accounting processes. Configure and validate Murex accounting modules to ensure accurate general ledger entries for bonds, derivatives and other treasure products. Perform configuration, validation, and testing of Murex modules related to accounting. Ensure...