Roles and Responsibilities:
- Manage end-to-end Forex transactions, including hedging, rate negotiation, and settlement.
- Conduct cash flow analysis to ensure liquidity and efficient working capital management.
- Oversee investment management and optimize fund utilization across business units.
- Ensure compliance with regulatory and internal treasury policies.
- Prepare and present accurate treasury and forex reports for management review.
- Assess financial risks and implement mitigation strategies in line with company objectives.
- Collaborate with internal teams and external banking partners for smooth treasury operations.
- Leverage advanced Excel skills for data analysis, modeling, and reporting.
- Lead and mentor the treasury team to ensure high performance and accountability.
Required Candidate Profile:
- CA/MBA with 5+ years of experience in Treasury within FMCG, Retail, or Manufacturing industries.
- Proven experience in forex management, financial planning, and compliance.
- Strong analytical skills with hands-on experience in Excel.
- Prior team handling experience is essential.
- Solid understanding of financial risk assessment, investment instruments, and regulatory frameworks.