Senior Treasury Manager
20 hours ago
COMPANY BACKGROUND
The organization is a technology-driven provider of specialized solutions for Healthcare Revenue Cycle Management, empowering clients through advanced analytics and process automation. Focused on operational efficiency, financial improvement, and data-driven decision-making, this organization is a trusted partner to numerous healthcare chains. With manpower of 7,500+, it is having global presence (5-6 international entities) across 3 geographies. The company has reported double digit growth on Revenue and margins over last decade. The company growth is also supported by inorganic transactions. The company has a strong emphasis on technology and data insights, it maintains a dynamic and supportive work culture, enabling its team members to grow and excel.
JOB DESCRIPTION
We are seeking a strategic Senior Treasury Manager to lead treasury operations across domestic and international entities. This role will be responsible for overseeing
liquidity planning, financial risk management, investment strategy, and regulatory compliance
. The ideal candidate will bring deep
expertise in treasury systems, cross-border fund flows, and capital market instruments
, with the ability to guide teams and influence senior decision-making
Key Responsibilities:
- Strategic Treasury Oversight
: Lead the development and execution of treasury strategy aligned with business growth and capital structure goals. - Investment & Banking Relationship Management:
Evaluate investment opportunities in India, US, and the Philippines balancing risk and return. Manage relationships with global banks, financial institutions, and rating agencies. Negotiate and structure credit facilities, loan covenants, and banking agreements. - Treasury Operations & Governance:
Supervise deal acceptance, verification, settlement, reconciliation, and MIS reporting for all treasury products. Ensure robust internal controls, audit readiness, and adherence to treasury policies. - Financial Risk Management:
Monitor and mitigate risks related to FX, interest rates, liquidity, and counterparty exposure. Implement hedging strategies and financial instruments to safeguard assets. - Cash Flow Forecasting:
Lead the preparation of a rolling 13-week cash flow forecast at both consolidated and geographical levels. Analyse variances and provide actionable insights to senior leadership. - Cash Pooling & Concentration:
Implement and manage cash pooling structures across entities to optimize liquidity. Monitor intercompany balances and ensure efficient cash concentration. - Float & Idle Balance Optimization:
Minimize float and idle cash balances through strategic bank account management. Recommend and execute initiatives to enhance cash efficiency. - Treasury Dashboard:
Develop and maintain a weekly treasury dashboard highlighting key metrics such as cash position, funding status, and FX exposure. Present insights to senior management and recommend corrective actions as needed. - Regulatory Compliance & Reporting:
Ensure compliance with RBI, FEMA, SEBI, and international treasury regulations. Prepare and review regulatory filings, board-level reports, and investor disclosures.
QUALIFICATION & SKILLS
- Education:
CA, CFA or MBA (Finance) from Tier I or Tier II College. - Technical Proficiency:
- Advanced knowledge of Treasury Management Systems (e.g., Kyriba, SAP Treasury)
- Proficiency in Bloomberg, Reuters, and financial modelling tools.
- Familiarity with FX hedging instruments, interest rate swaps, and liquidity forecasting models.
- Experience with regulatory filings and treasury audits across jurisdictions
- Exposure to virtual finance tools and remote treasury operations
- Understanding of cybersecurity protocols and digital banking platforms
- Understanding of lender covenants, SEBI regulations, knowledge of IPO process, US GAAP, US Tax regulations.
SOFT SKILLS / TRAITS
- Strategic thinking with the ability to translate financial insights into actionable decisions.
- Strong leadership and team development capabilities
- High attention to detail and financial accuracy
- Effective communication with internal stakeholders and external partners
- Ability to manage complexity and drive outcomes under tight timelines
- Proactive, assertive, confident, and a strong command over financial data.
Experience
- 8–12 years of progressive experience in corporate treasury, banking, or capital markets
- Mandatory exposure to global treasury operations and regulatory environment
- Experience in working with listed company treasury operations would be a strong advantage.
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