Treasury Manager
BiofuelCircle- Posted an hour ago
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Job Description
Hi There,
We are hiring for the position of Treasury Manager at BiofuelCircle.
Position Details:
- Role: Treasury Manager
- Experience: 5 to 8 Years
- Location: Aundh, Pune
- Work Mode: Work From Office
- Notice Period: Immediate to 20 Days
Key purpose if the role:
We are seeking a detail-oriented and experienced Banking Operations Manager to manage and oversee daily banking transactions, compliance, and financial operations. The ideal candidate will be responsible for ensuring efficient handling of banking processes, maintaining relationships with financial institutions, and ensuring compliance with regulatory requirements.
What Key Tasks will be involved
Banking Operations Management:
- Handle daily banking transactions, including deposits, withdrawals, fund transfers, and reconciliations.
- Monitor and manage bank accounts, ensuring sufficient balances for operational needs.
- Process and verify payments, including NEFT, RTGS, IMPS, SWIFT, and online banking transactions.
- Manage cheque clearances, DD issuances, and cash handling procedures.
Treasury & Fund Management:
- Cash flow management, fund allocation, and forecasting.
- Optimize banking processes to reduce operational costs and improve efficiency.
- Coordinate with financial institutions for loans, credit facilities, and interest rate negotiations.
Relationship Management with Banks & Financial Institutions:
- Serve as the primary point of contact for banking partners.
- Liaise with banks for account-related queries, forex transactions, and trade finance services.
- Assist in securing bank guarantees, letter of credit (LC) issuance, and other financial instruments.
Reporting & Documentation:
- Prepare regular reports on banking transactions, fund status, and reconciliation statements.
- Maintain accurate records of banking activities and ensure proper documentation of transactions.
- Support internal and external audits related to banking operations
More Info
Key Skills
NEFT
Online banking transactions
Bank guarantees
Interest rate negotiations
Letter of credit (LC) issuance
IMPS
DD issuances
Fund transfers
Cash handling procedures
Banking transactions
Fund allocation
Cheque clearances
