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Mosaic Wellness

Treasury & Finance Controller

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  • Posted 13 hours ago
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Job Description

Role Overview

Hybrid role 50 percentage Treasury, 50 percentage Accounting & Controls with end to end ownership of treasury operations and related accounting across India and international subsidiaries. You will manage cash, banking, forex, investments, and ensure strong financial controls, auditors, and banks.

Key Responsibilities

Treasury (50 percentage)

  • Banking and Structure: Manage account opening, KYC, mandates, and maintain optimal bank account architecture (multi entity, mult currency)
  • Cash and Liquidity: Drive daily cash positioning and 12–13 week rolling cash forecasts; optimize working capital and fund flows
  • Forex and Compliance: Handle FX exposure, hedging, and ensure FEMA/RBI compliance (ODI, FDI, remittances, filings)
  • Investments: Deploy surplus funds (FDs, liquid funds, T bills, MMFs) within policy limits; track yields and risks
  • Cards and Expenses: Oversee corporate card programs, controls, reconciliations, and policy adherence
  • Banking and Debt: Manage banking relationships, negotiate terms, and oversee facilities CC or OD, term loans, BG or LC)
  • Policies and Systems: Implement treasury policies, controls (maker-checker), and support TMS or ERP integrations

Accounting and Controls (50percentage)

  • Treasury Accounting: Manage monthly close (interest, FX revaluation, MTM, accruals)
  • Reconciliations: Ensure timely bank, investment, and intercompany reconciliations with zero ageing
  • Operational Accounting: Oversee AP/AR cycles, vendor payments, collections tracking, invoicing, and GL hygiene

  • Support in day today operational activities and driving processes and specific projects in the finance.
  • Compliance and Audit: Support statutory, tax, internal and IFC audits; ensure TDS, GST, support as and when required.
  • MIS and Reporting: Publish weekly dashboards and monthly treasury packs (cash, exposure, returns, debt)
  • Internal Controls: Strengthen risk and controls framework and drive automation across treasury and accounting processes.

What We're Looking For

  • CA with 2 to3 years experience and MBA Finance or B com with 6-8 years experience
  • corporate treasury or banking and Reporting
  • Expertise in cash management, forex, FEMA compliance, and investments.
  • Good to have experience with international subsidiaries (US/UAE/UK)
  • Hands-on with ERP systems and advanced Excel
  • Strong stakeholder management and communication skills

More Info

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About Company

Job ID: 148345013