Treasury Manager

2 weeks ago


Bengaluru, Karnataka, India NexusDMC Full time ₹ 15,00,000 - ₹ 25,00,000 per year

Job description

Candidates with Notice period of 15-30 Days can only apply.

Treasury Manager

Finance -ACCOUNTS

6 - 10 Years

Full-time

Bengaluru

Role Overview:

A a key member of the Global Finance Operations team, the

Treasury Manager

is responsible for overseeing and managing all treasury-related activities across multiple geographies.

This role plays a vital part in optimizing liquidity, managing financial risks, and ensuring efficient execution of both outward and inward financial transactions. The ideal candidate will bring strong expertise in reconciliation, vendor finance management, foreign exchange handling, and financial cost control while ensuring compliance and operational excellence.

Key Responsibilities:

Outward Remittance Management:

Ensure timely and accurate processing of all outward remittances including wallet uploads, vendor advances, payout processing, and indirect payments. Implement checks and documentation protocols to ensure compliance with global and local regulatory frameworks.

Inward Collection Monitoring:

Manage the inward collections across B2B, B2C, and Suspense Accounts. Oversee reconciliation of the

TF Universal Wallet and ensure correct attribution of collections against receivables with zero error

tolerance.

Bank, Wallet & Payment Gateway Reconciliation:

Lead the reconciliation process across multiple financial touchpoints – including banks, digital wallets,

and payment gateways – ensuring system alignment, identifying variances, and driving timely resolution.

Collection, Recovery & Credit Control:

Drive proactive collection strategies, enforce credit policies, and collaborate with commercial teams to

reduce DSO (Days Sales Outstanding). Improve recovery metrics and minimize credit risk through data-driven credit control frameworks.

Vendor Onboarding & Financial Health Monitoring:

Oversee the onboarding of vendors with a robust due diligence and compliance checklist. Conduct periodic financial health assessments and classify vendors as active/inactive to ensure healthy financial partnerships and risk mitigation.

Global FX Management (Country Level):

Manage foreign exchange exposure and mitigate risks through effective country-level FX strategies.

Collaborate with banks and financial institutions to hedge exposures and secure favorable currency positions.

Financial Cost Monitoring & Control:

Develop systems for monitoring financial costs, identifying inefficiencies, and implementing corrective

measures. Focus on reducing finance costs and increasing revenue from other income streams such as float income, FX gains, and interest optimization.

Key Requirements:


• Bachelor's degree in Finance, Accounting, or related field; MBA/CA/CFA preferred


• 6–10 years of experience in corporate treasury, with global exposure preferred


• Proven track record in managing high-volume remittances and reconciliations


• Strong understanding of FX risk management, credit control, and working capital optimization


• Proficiency in ERP systems and reconciliation tools


• Excellent analytical skills, attention to detail, and ability to lead cross-functional collaboration


• Strong communication skills with the ability to liaise effectively across internal teams and external stakeholders


  • Treasury Manager

    4 days 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 Manager

    6 days ago


    Bengaluru, Karnataka, India Search Advisers Services Guj Full time ₹ 20,00,000 - ₹ 25,00,000 per year

    Role & responsibilitiesManage daily cash flow, forecasting, and reporting to ensure adequate liquidity across all entities.Develop and implement treasury strategies to optimize working capital and reduce financial risk Build supply chain financing solution for suppliers bringing value tooverall ecosystemMonitor and manage debt facilities, interest, and loan...

  • Treasury Manager

    4 days ago


    Bengaluru, Karnataka, India Intel Full time ₹ 20,00,000 - ₹ 25,00,000 per year

    The candidate will be responsible for managing a team of treasury analysts handling the daily cash management functions of Intel and its consolidated subsidiaries, including, but not limited to, short-term funding and investment execution, monitoring the components of working capital, foreign exchange activity and controls, cash...


  • Bengaluru, Karnataka, India Mancer Consulting Services Full time ₹ 6,00,000 - ₹ 8,00,000 per year

    Treasury OperationsOversee daily cash management, bank reconciliations, and liquidity planning.Ensure compliance with internal treasury policies and external regulatory requirements.Manage banking relationships and optimize cash pooling structures.Support FX risk management and intercompany funding strategies.Drive automation and efficiency in treasury...

  • Treasury Manager

    1 week ago


    Bengaluru, Karnataka, India Intel Corporation Full time ₹ 15,00,000 - ₹ 25,00,000 per year

    Job Details:Job Description: The candidate will be responsible for managing a team of treasury analysts handling the daily cash management functions of Intel and its consolidated subsidiaries, including, but not limited to, short-term funding and investment execution, monitoring the components of working capital, foreign exchange activity and controls, cash...

  • Head Treasury

    2 days ago


    Bengaluru, Karnataka, India Ola Full time ₹ 15,00,000 - ₹ 25,00,000 per year

    Roles and ResponsibilitiesResponsible for overall banking operations - liaison with banks, working capital management, preparing and submission of reports to banks, knowledge of trade banking i.e. LC, BG etc.Budgeting, forecasting, MIS and monthly closing on a timely basis, FX and other treasury operations.Bank account administration: KYC, account opening...


  • Bengaluru, Karnataka, India WPP Full time ₹ 1,50,00,000 - ₹ 2,50,00,000 per year

    WPP is the creative transformation company. We use the power of creativity to build better futures for our people, planet, clients, and communities.Working at WPP means being part of a global network of more than 100,000 talented people dedicated to doing extraordinary work for our clients. We operate in over 100 countries, with corporate headquarters in New...

  • Treasury Analyst

    3 days 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...

  • Head - Treasury

    4 days ago


    Bengaluru, Karnataka, India Aster DM Healthcare Full time ₹ 20,00,000 - ₹ 25,00,000 per year

    Key Responsibilities:Treasury Management:Develop and implement strategies for effective cash management, forecasting, and liquidity planning.Oversee the companys daily cash position, including cash flow monitoring and reporting.Manage relationships with banks and financial institutions, negotiate terms, and ensure compliance with banking agreements.Secure...

  • Executive, Treasury

    6 days ago


    Bengaluru, Karnataka, India Mapletree Investments Pte Ltd Full time ₹ 1,20,000 - ₹ 1,80,000 per year

    This position will be supporting the Treasury team for the assigned portfolio.Job ResponsibilitiesProvide support on processing remittance and bank transactions as well as daily treasury operations for cash management.Provide updates on cash position and ensure compliance with policies and standard operating procedures.Liaise with banks on daily treasury...