Assistant treasury manager

2 weeks ago


Mumbai, India TeamLease Edtech Full time

Key Responsibilities: 1.

Cash Management and Forecasting:  Manage the company’s liquidity, ensuring sufficient cash to meet daily and long-term operating needs.

 Develop and maintain robust cash flow forecasting models to accurately predict future cash requirements.

 Oversee cash positions on a daily, weekly, and monthly basis, with a focus on optimizing working capital.

 Ensure timely and efficient execution of fund transfers, payments, and receipts.

2.

Banking Relationships and Negotiation:  Build and maintain strong relationships with banks and financial institutions, ensuring access to a wide range of banking products and services at competitive rates.

 Lead negotiations for banking terms such as fees, interest rates, credit facilities, and other financial arrangements.

 Coordinate the establishment and maintenance of corporate bank accounts globally, ensuring alignment with company policies.

 Manage the opening and maintenance of corporate bank accounts, ensuring compliance with company policies and international regulations.

3.

Treasury Operations and Systems:  Design and implement efficient treasury processes, policies, and internal controls to enhance transparency and minimize risk.

 Monitor and execute treasury operations including payments, foreign exchange transactions (FX), and hedging activities.

 Evaluate, recommend, and implement treasury management systems (TMS) and tools that enable automation and enhance decision-making capabilities.

4.

Debt and Capital Management:  Oversee the management of the company's debt portfolio, ensuring the organization maintains appropriate leverage and liquidity ratios.

 Identify opportunities to optimize capital structure, including refinancing, issuing new debt, and managing covenant compliance.

 Collaborate with lenders and financial institutions on new funding initiatives, credit lines, and alternative financing solutions.

5.

Payment Gateway Management:  Oversee the integration, management, and optimization of payment gateways used across the organization for various customer and supplier transactions.

 Ensure the payment gateways are secure, efficient, and compliant with relevant standards (PCI- DSS), providing a seamless experience for users.

 Collaborate with internal teams (IT, e Commerce, and Finance) to implement and maintain payment solutions that enhance transaction processing and reduce costs.

 Monitor gateway performance, transaction fees, and fraud detection systems, working with external providers to resolve issues and optimize service levels.

 Negotiate terms with payment processors, payment service providers (PSPs), and acquirers to secure favorable transaction fees and service levels.

6.

AR Management  Worked closely with the BU Leaders towards AR Management.

 Identify the Provision Risk and take corrective action.

 Worked with Tech Team to establish proper Tech Platform for better control the Accounts Receivable.

7.

Financial Reporting and Analysis:  Prepare and present detailed reports on liquidity, debt, and investment performance to senior management and the Board.

 Conduct financial analysis to support decision-making related to funding strategies, capital structure, and cash management.

 Ensure accurate and timely completion of treasury-related audits, compliance reports, and regulatory filings.

8.

Cross-functional Collaboration and Leadership:  Work closely with the FP&A team to align treasury operations with budgeting and financial planning initiatives.

 Partner with Legal and Tax departments to ensure adherence to regulatory requirements and optimize global tax strategies.



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