Manager - Treasury

6 hours ago


Mumbai India Trafigura Full time

Job Description Main Purpose: The candidate will be responsible to lead the execution, monitoring, and reporting of the Group's Treasury Capital activities, spanning secured and unsecured financing, liquidity reporting, cash management, and treasury assets optimization. This role is critical in managing the lifecycle of loan facilities, ensuring regulatory and internal policy compliance, optimizing the cost of capital, and producing key decision-making insights for senior management. The candidate will bring strong leadership skills to manage a team, drive cross-functional collaboration, and lead change initiatives that enhance treasury operations, analytics, and performance. Knowledge Skills and Abilities, Key Responsibilities: Knowledge, Skills and Abilities . Strong academic foundation with an MBA in Finance advanced certifications such as CTP, CFA or FRM are preferred . 8-12 years of progressive experience in treasury, corporate finance, or capital markets, with hands-on expertise in Trade Finance, Cash Management, and Intercompany Lending (In-house Banking) . Minimum 4-6 years of proven experience managing and developing high-performing teams in a complex, fastpaced finance environment . Prior experience with Treasury Management Systems (e.g., Kyriba, Quantum, SAP Treasury, or equivalent) and a strong understanding of system workflows, controls, and automation opportunities . Demonstrated ability to work with precision and high attention to detail, especially in managing financial risk, compliance, and reporting . Strong analytical and quantitative skills with the ability to interpret complex financial data and generate actionable insights . Excellent organizational and time-management abilities, with a track record of successfully leading multi stakeholder initiatives and delivering against tight deadlines . Exposure to the commodities sector, structured financing, or securitisation vehicles is an added advantage Key Attributes . Proven ability to communicate complex concepts clearly and confidently across all levels, including senior executives, peers, and cross-functional teams . Strong financial acumen with the ability to interpret and drive insights from complex data sets to support funding strategies and capital allocation decisions . Demonstrates focus on achieving business outcomes while managing multiple priorities, workstreams, and deadlines in parallel . Anticipates challenges and identifies actionable solutions takes initiative to improve processes and add value in a dynamic treasury environment . Skilled in structuring workflows, setting priorities, and driving team accountability to deliver high-quality outcomes on time . Brings a confident and composed presence, especially when working under pressure or navigating uncertainty . Rapidly grasps complex financing concepts, systems, and business models adaptable to evolving business needs and regulatory changes . Performs effectively in fast-paced, time-sensitive settings while maintaining high attention to detail and judgment . Experienced in managing teams, providing mentorship, and building collaborative relationships across departments to drive shared outcomes Key Responsibilities: Secured & Unsecured Financing Facilities: . Manage end-to-end lifecycle of secured and unsecured loans, ensuring full compliance with financing agreements and internal policies. . Serve as the primary liaison with banks, facility agents, and internal stakeholders for loan drawdowns, repayments, and deposit bookings. . Ensure accurate allocation of funding costs and income to transactions and cost centers. . Track and analyze financing metrics including interest margins, facility utilization, and cost of capital. . Reconcile cash flows with third-party and internal records, maintaining robust documentation trails. . Produce executive dashboards and detailed reports on facility utilization, maturity profiles, and performance benchmarks. . Perform mark-to-market (M2M) valuations on relevant loan structures. . Benchmark financing facility terms and costs against internal targets and market conditions. Liquidity Reporting & ALM: . Prepare daily, weekly, and monthly liquidity reports, including stress testing and early warning indicators. . Ensure accuracy and timeliness of liquidity and funding-related data. . Collaborate with finance teams for treasury P&L reporting and variance analysis. . Optimize short-term liquidity usage and ensure efficient deployment of receipts to repay loans. Cash & Treasury Asset Management: . Oversee daily global cash positioning and in-house banking operations. . Optimize allocation across internal loans, securitized assets, and treasury investments to enhance yield while maintaining liquidity. . Develop investment strategies for surplus cash and manage money market instruments within risk guidelines. . Ensure regulatory and operational compliance for securitized assets and internal loans. . Maintain strong governance and reporting around internal lending, intercompany funding, and asset utilization. Team Management: . Lead and mentor a team of treasury analysts and specialists, promoting a high-performance culture. . Conduct regular performance reviews, provide coaching, and identify training needs. . Foster a collaborative environment with cross-functional stakeholders in finance, operations, and legal teams. Project & Change Management: . Lead treasury-related change initiatives, including system upgrades, reporting automation, and process enhancements. . Support the design and implementation of controls, workflows, and documentation for new facilities or reporting standards. . Drive continuous improvement in data accuracy, process efficiency, and reporting capability. Key Relationships and Department Overview: Internal . Accounting Department . Corporate Finance . Credit Department . IT Development Team . Treasury Technology and Payments . Trade Finance . Deals Desk . Operations Departments . Senior Finance Management Majority of key relationships will be with colleagues based in the Mumbai, Geneva, Montevideo, Houston, Shanghai and Singapore offices. External . Facility Agents and Programme Banks . Treasury technology vendors and consultants . Financing Banks and Institutions . Legal Advisers



  • Mumbai, India Travelex Full time

    Job Description Role purpose - The job holder will report directly to the Head of Treasury providing support and management of the Treasury systems, incorporating the Treasury Management Platform, the Bank Account platform and the Payment Systems - Management of the day to day running of the Treasury Management System - Management of the day to day running...

  • Manager-Treasury

    23 hours ago


    Mumbai, Maharashtra, India Sodexo Full time ₹ 12,00,000 - ₹ 36,00,000 per year

    Job Purpose:We are seeking a motivated Treasury Officer to join our Shared Business Services (SBS) Record to Report (R2R) team. This role will focus on supporting Australia treasury operations and requires an early login (7:00 AM IST or earlier) to align with APAC banking timelines and daily cut-offs. The successful candidate will play a critical role in...

  • Treasury Manager

    2 weeks ago


    Mumbai, Maharashtra, India Heron strategic consulting Full time ₹ 1,20,000 - ₹ 16,00,000 per year

    Dear Candidates we are for treasury Manager'Qualification::Any Graduation (MBA/CA) are preferredExperience::3-6 YearsLocation::Mumbai1.Treasury Management: * Oversee the daily treasury operations, including cash management, short term / long term borrowings, and foreign exchange. * Develop and implement treasury policies and procedures to ensure compliance...

  • Manager - Treasury

    2 weeks ago


    Mumbai, Maharashtra, India Crest Management Solutions Full time ₹ 15,00,000 - ₹ 25,00,000 per year

    Experienced Treasury professional to manage cash flow, debt servicing, LCs/BGs, forex, investments, and banking for Renewable Energy SPVs. Role covers treasury ops, compliance, MIS, audit, and supporting project financing. Required Candidate profileMBA/CA with 6–10 yrs in Corporate Treasury; strong banking, treasury & financial skills; infra/renewable exp...

  • AVP - Treasury

    2 weeks ago


    Mumbai, India ACCA Careers Full time

    Job Description The AVP - Treasury will lead global treasury operations, ensuring effective cash management, risk mitigation, and compliance within the energy and natural resources sector. This role is ideal for individuals with expertise in treasury strategies, financial planning, and operational excellence. Client Details The hiring organisation is a large...

  • Treasury Manager

    23 hours ago


    Mumbai, Maharashtra, India Multicon Group Full time ₹ 12,00,000 - ₹ 36,00,000 per year

    We are seeking an experienced and proactive Treasury Manager Forex to lead our treasury operations, FX dealing, remittance settlements, and interbank transactions. The ideal candidate should have a strong background in forex trading (retail and wholesale), derivatives hedging, SWIFT-based settlements, and regulatory documentation. This is a critical role...

  • Senior Manager

    6 days ago


    Mumbai, Maharashtra, India, Maharashtra Bunge Full time

    Global Job Title: Senior Manager - Treasury India (Leadership Level)Role Purpose Statement :Reporting to the Sr. Director Treasurer Global Cash Management and Trade Finance, this role is a senior role responsible for the daily management of all treasury related matters in India and being the local point of contact for the Bunge treasury side in relation to...

  • Sr. Associate

    24 hours ago


    Mumbai, Maharashtra, India Finrex Treasury Advisors Full time ₹ 9,00,000 - ₹ 12,00,000 per year

    Role & responsibilitiesJob descriptionMaximizing lead generation through driving the sales team.Drive the on-boarding of new clients through consultative selling of FX Consulting, Treasury Audit and other services.Pitching relevant Forex Consulting and advisory, Treasury Audit and Forex as a profit centre service and arranging meetings with CFOs and MDs of...

  • Treasury Manager

    6 days ago


    Mumbai, Maharashtra, India Transace Tax Hr Advisors Full time ₹ 15,00,000 - ₹ 25,00,000 per year

    Designation: Treasury ManagerLocation: Prabhadevi, MumbaiDepartment: Accounts & FinanceExperience: 3-8 Years (Road / Infrastructure / Big 4 Firms)Qualification: MBA preferred/ CA InterKey Responsibilities:Manage day-to-day treasury operations across InvIT & SPVsHandle Escrow account operations, the waterfall mechanism, and ensure lender complianceExecute &...

  • Treasury Manager

    2 weeks ago


    Mumbai, Maharashtra, India Heron Strategic Consulting Full time ₹ 5,00,000 - ₹ 15,00,000 per year

    Dear Candidates we are hiring for Treasury Manager' Qualification::Any Graduation (MBA/CA) PreferredExperience:: 2+ YearsLocation:: Mumbai Responsibilities:: 1.Treasury Management:2. Risk Management3. Foreign Exchange:4. Financial Reporting