
Search by job, company or skills
About Company
The company operates in the health and wellness technology industry, creating innovative solutions that help individuals monitor and improve their fitness and metabolic health.
Job Description
Roles & Responsibilities:-
Oversee daily liquidity, cash flow, and banking operations to ensure optimal financial positioning
Develop and implement treasury strategies, policies, and procedures aligned with business goals
Manage and negotiate banking relationships (including US/EU), credit lines, and investment opportunities
Monitor and mitigate financial risks (interest rate, currency, credit exposures)
Supervise treasury team and ensure compliance with internal controls
Deliver accurate treasury reports, forecasts, and insights to senior management
Ensure adherence to relevant statutory, tax, and regulatory requirements
Ideal Candidate:-
CA with 810 years of progressive treasury experience
Experience managing treasury operations in the range of $10M$50M for a product-led, tech-based company with global operations and sales
Experience with Corporate treasury management, Cash flow forecasting and optimization, Treasury operations and controls
Relationships with international banks in US, EU, UAE etc
Expertise in financial modelling and analysis
Ability to develop and execute treasury policies and procedures
Experience of handling import/export transactions
Job ID: 136215157