
Search by job, company or skills

Director/Associate Partner – Corporate Treasury & Liquidity Management
Location : India
Industry Focus: Non-Financial Sectors (Telecom, Power, Mining, Pharma, Clean Energy, Sports, and others)
Role Overview
UNIQUS Consultech is seeking a senior treasury professional to lead the Corporate Treasury & Liquidity Management function across non-financial sectors. This role involves strategic oversight of liquidity frameworks, cash-flow optimization, treasury diagnostics, and governance, ensuring efficient capital deployment, risk mitigation, and alignment with business objectives.
The role is suited for a visionary leader who can combine technical treasury expertise with strategic insight, working closely with C-suite executives to strengthen financial resilience and decision-making.
Key Responsibilities
1. Treasury & Liquidity Strategy
· Define and implement enterprise-wide liquidity and cash-flow management strategies, including rolling 13-week forecasts and medium-to-long-term cash-flow planning.
· Size and optimize liquidity buffers, considering ratings, covenant requirements, and business contingencies.
· Develop strategies for cash concentration, funding, and working capital efficiency to support corporate objectives.
2. Treasury Diagnostics & Risk Management
· Lead treasury diagnostics, cash-flow variance analysis, and maturity-gap assessments across business units.
· Identify liquidity and funding risks, recommending mitigation strategies and scenario planning.
· Oversee hedge-ratio optimization, derivative usage, and hedge-accounting frameworks aligned with IFRS/US GAAP standards.
3. Governance & Stakeholder Engagement
· Establish and enforce robust treasury and liquidity governance frameworks, policies, and controls.
· Partner with finance, operations, and business unit leaders to ensure alignment of treasury strategy with corporate objectives.
· Provide actionable insights and reporting to the Board, CFO, and executive management for strategic decision-making.
4. Team Leadership & Capability Building
· Lead and mentor treasury and finance teams, building capabilities in cash management, liquidity planning, and risk oversight.
· Drive digital transformation initiatives in treasury, leveraging Treasury Management Systems (TMS), analytics, and automation.
Qualifications & Experience
· Bachelor's or Master's degree in Finance, Economics, Accounting, or related discipline.
· 10+ years of progressive experience in corporate treasury and liquidity management, preferably within non-financial sectors.
· Proven expertise in cash-flow modeling, liquidity management, treasury operations, and hedging strategies.
· Experience in corporate governance, treasury diagnostics, and strategic advisory for senior management.
· Strong knowledge of treasury management systems (TMS), financial analytics, and reporting tools.
Key Skills & Competencies
· Strategic thinker with strong analytical and financial modeling capabilities.
· Excellent stakeholder management and communication skills, capable of advising executive leadership.
· Hands-on experience with hedging, cash-flow optimization, liquidity risk mitigation, and scenario analysis.
· Ability to lead cross-functional teams, drive process improvements, and implement treasury best practices.
Job ID: 148444635
We don’t charge any money for job offers