Head – Corporate Treasury
4 days ago
Position Summary: Responsible for all matters related to Treasury & Insurance of the GroupAreas of Responsibility (Key Result Areas)Working Capital Management & Cash Conversion:Track KPIs on working capital to identify inefficiencies and opportunities to optimize current capitalImprove cash flowsFunding Strategies: Evaluate and arrange cost-efficient alternative funding strategies for the Supply Chain ecosystemInvestments & Borrowings:Track and maximize returns on Treasury investments within company policy guidelinesExplore least-cost borrowing strategies as neededForeign Exchange (Fx) Management:Hedge Fx exposure as per Treasury Policy guidelinesMaximize FX gainsRelationship Management: Maintain cordial relationships with company bankers and financial partnersAccounts Payable & Receivables: Monitor and improve performance and efficiency of centralized AP & AR functionsInsurance Management: Protect the company from financial losses due to unforeseen events such as property damage, liability claims, or business interruptionsQualification and Experience:Chartered Accountant with 10 - 12 years of experience, with at least 8+ years in Treasury functions.Preferably in FMCG industry, listed company, with experience in exportsExperience in handling banking, investment & borrowing management, insurance, payables & receivables functionsExperience working in SAP environmentFunctional Competency:Strong understanding of Treasury solutions, systems, and processes including AP & ARFinancial and business acumenKnowledge of FMCG industryProficiency with MS Office toolsAbout CompanyThe company operates in the food and beverage industry, specializing in the production and distribution of a diverse range of authentic packaged foods, including spices, ready-to-cook, and ready-to-eat products that cater to various meal occasions with a focus on quality and tradition.
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Head Treasury
4 days ago
Bengaluru, Karnataka, India Empert Consultants Full time ₹ 8,00,000 - ₹ 20,00,000 per yearWe're Hiring – Head Treasury | BangaloreIndustry experience:Real Estate or Construction(mandatory)Location:BangaloreRole:Head – TreasuryKey Responsibilities:1. Cash Flow & Liquidity ManagementMonitor and manage daily cash flows, ensuring adequate liquidity for operational and project needs.Develop short- and long-term cash flow forecasts.Optimize working...
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Corporate Treasury
2 weeks ago
Bengaluru, Karnataka, India Goldman Sachs Full time ₹ 9,00,000 - ₹ 12,00,000 per yearFINANCE | Corporate TreasuryWe're a team of specialists charged with managing the firm's funding, liquidity, capital and relationships with creditors and regulators. Corporate Treasury manages the firm's financial resources and minimizes interest expense through liability planning, asset liability management, and liquidity portfolio yield enhancement. The...
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Corporate Treasury
1 week ago
Bengaluru, Karnataka, India Goldman Sachs Full time ₹ 12,00,000 - ₹ 36,00,000 per yearDescription FINANCE | Corporate TreasuryWe're a team of specialists charged with managing the firm's funding, liquidity, capital and relationships with creditors and regulators. Corporate Treasury manages the firm's financial resources and minimizes interest expense through liability planning, asset liability management, and liquidity portfolio yield...
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Corporate Treasury
1 day ago
Bengaluru, Karnataka, India Goldman Sachs Full time ₹ 6,00,000 - ₹ 12,00,000 per yearJob DescriptionFINANCE | Corporate TreasuryWe're a team of specialists charged with managing the firm's funding, liquidity, capital and relationships with creditors and regulators. Corporate Treasury manages the firm's financial resources and minimizes interest expense through liability planning, asset liability management, and liquidity portfolio yield...
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Head – Corporate Treasury
5 days ago
Bengaluru, India Corenza Full timePosition Summary: Responsible for all matters related to Treasury & Insurance of the GroupAreas of Responsibility (Key Result Areas)Working Capital Management & Cash Conversion:Track KPIs on working capital to identify inefficiencies and opportunities to optimize current capitalImprove cash flowsFunding Strategies: Evaluate and arrange cost-efficient...
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Head – Corporate Treasury
4 days ago
Bengaluru, India Corenza Full timePosition Summary: Responsible for all matters related to Treasury & Insurance of the GroupAreas of Responsibility (Key Result Areas)Working Capital Management & Cash Conversion:Track KPIs on working capital to identify inefficiencies and opportunities to optimize current capitalImprove cash flowsFunding Strategies: Evaluate and arrange cost-efficient...
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Head – Corporate Treasury
5 days ago
Bengaluru, India Corenza Full timePosition Summary: Responsible for all matters related to Treasury & Insurance of the GroupAreas of Responsibility (Key Result Areas)Working Capital Management & Cash Conversion:Track KPIs on working capital to identify inefficiencies and opportunities to optimize current capitalImprove cash flowsFunding Strategies: Evaluate and arrange cost-efficient...
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Head – Corporate Treasury
5 days ago
Bengaluru, India Corenza Full timePosition Summary: Responsible for all matters related to Treasury & Insurance of the Group Areas of Responsibility (Key Result Areas) Working Capital Management & Cash Conversion: Track KPIs on working capital to identify inefficiencies and opportunities to optimize current capital Improve cash flows Funding Strategies: Evaluate and arrange cost-efficient...
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Head – Corporate Treasury
4 days ago
Bengaluru, India Corenza Full timePosition Summary: Responsible for all matters related to Treasury & Insurance of the Group Areas of Responsibility (Key Result Areas) Working Capital Management & Cash Conversion: - Track KPIs on working capital to identify inefficiencies and opportunities to optimize current capital - Improve cash flows Funding Strategies: Evaluate and arrange...
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Head – Corporate Treasury
3 days ago
Bengaluru, India Corenza Full timePosition Summary: Responsible for all matters related to Treasury & Insurance of the GroupAreas of Responsibility (Key Result Areas)Working Capital Management & Cash Conversion:- Track KPIs on working capital to identify inefficiencies and opportunities to optimize current capital- Improve cash flowsFunding Strategies: Evaluate and arrange cost-efficient...