Assistant Manager - Finance and Treasury

Credit Saison India

Mumbai

On-site

INR 1,500,000 - 2,500,000

Full time

14 days+
Application generator

Get a reply from this employer — a resume and cover letter tailored to exactly what they’re hiring for.

Get past ATS filters

Job summary

Credit Saison India is seeking an Executive/Senior Executive/Assistant Manager/Deputy Manager, Treasury in Mumbai. The role oversees cash management, banking relations, liquidity planning, and financial risk management to ensure funds availability and optimized cash flows.

You will handle daily cash, payments, bank documentation, and treasury reporting while ensuring compliance with policies. The position is full-time at ABR Emerald MIDC Andheri.

Qualifications

  • Post graduate degree in finance, accounting, commerce or related field.
  • CA-Inter / MBA Finance preferred.
  • 36 years of relevant treasury experience in finance operations.

Responsibilities

  • Cash & liquidity management across daily balances and forecasts.
  • Manage banking operations and relationships with financial institutions.
  • Oversee payments, fund transfers, and regulatory compliance.
  • Monitor borrowings, debt facilities, and investment opportunities.
  • Prepare treasury MIS, bank reconciliations, and analytics.
  • Ensure controls, audits support and process improvements.

Skills

Cash & liquidity management
Cash-flow forecasting
Banking relationship management
Bank reconciliation
Working capital management
Borrowings and interest management
Treasury MIS and reporting
Financial analysis
MS Excel
ERP/Oracle
Attention to detail
Analytical and problem-solving
Communication and stakeholder-managem.

Education

Post Graduate Degree in Finance, Accounting, Commerce, or a related field
CA - Inter / MBA Finance qualification is preferred

Tools

ERP/Oracle
SAP/Oracle ERP

Job description

Job Description Executive/ Senior Executive/ Assistant Manager/ Deputy Manager, Treasury

Department: Finance & Treasury Location: ABR Emerald MIDC Andheri Reports To: Treasury Manager / Chief Manager Treasury Experience: 3 to 6 years Employment Type: Full-time

Job Summary

We are looking for a detail-oriented and proactive Executive/ Senior Executive/ Assistant Manager/Deputy Manager Treasury to support the organizations treasury operations, cash management, banking relationships, liquidity planning, and financial risk management. The role will be responsible for ensuring adequate availability of funds, optimizing cash flows, maintaining banking documentation, and supporting day-to-day treasury activities.

Key Responsibilities
1. Cash & Liquidity Management
  • Monitor daily cash and bank balances across all accounts.
  • Prepare daily/weekly cash flow and liquidity reports.
  • Forecast short-term cash requirements and identify funding gaps or surpluses.
  • Ensure timely availability of funds for operational and statutory requirements.
  • Monitor and optimize cash utilization across bank accounts.
2. Banking Operations
  • Manage day-to-day banking transactions and coordinate with banks.
  • Maintain strong relationships with banks and financial institutions.
  • Handle bank account opening, closure, KYC, mandate updates, and other documentation.
  • Coordinate with banks for payment-related queries, transaction issues, and service requests.
  • Monitor bank charges and identify opportunities for cost optimization.
3. Payments & Fund Transfers
  • Review and coordinate domestic and international fund transfers.
  • Ensure payments are processed accurately and within approved timelines.
  • Monitor payment status and resolve exceptions with relevant internal teams and banks.
  • Ensure compliance with internal authorization and treasury policies.
4. Borrowings & Investments
  • Monitor existing loans, working capital facilities, interest rates, repayment schedules, and related documentation.
  • Coordinate with banks for renewal and enhancement of credit facilities.
  • Assist in evaluating short-term investment opportunities for surplus funds.
  • Track interest income, borrowing costs, and maturity schedules.
  • Placement of Mutual Funds/Treasury Bills/Fixed Deposit etc.
5. Treasury Reporting & MIS
  • Prepare daily, weekly, and monthly treasury MIS.
  • Prepare bank balance, cash flow, borrowing, investment, and interest reports.
  • Perform bank reconciliation and investigate outstanding/unreconciled items.
  • Provide treasury-related analysis and reports to management.
6. Compliance & Controls
  • Ensure treasury activities comply with company policies, applicable regulations, and internal controls.
  • Maintain proper records and documentation for treasury transactions.
  • Support internal and statutory audits by providing required treasury information and documentation.
  • Ensure timely completion of bank and regulatory compliance requirements.
7. Process Improvement
  • Identify opportunities to improve treasury processes, controls, and reporting.
  • Support automation and digitization of treasury activities.
  • Assist in implementing treasury management systems and improving cash visibility.
Required Qualifications
  • Post Graduate Degree in Finance, Accounting, Commerce, or a related field.
  • CA - Inter / MBA Finance qualification is preferred.
  • 36 years of relevant experience in treasury, corporate finance, banking operations, or financial management.
  • Strong knowledge of cash management, banking operations, fund transfers, and cash-flow forecasting.
  • Good understanding of accounting and financial controls.
  • Advanced proficiency in MS Excel; experience with ERP systems such as SAP/Oracle is preferred.
Key Skills
  • Cash & liquidity management
  • Cash-flow forecasting
  • Banking relationship management
  • Bank reconciliation
  • Working capital management
  • Borrowings and interest management
  • Treasury MIS and reporting
  • Financial analysis
  • MS Excel
  • ERP/Oracle
  • Strong attention to detail
  • Analytical and problem-solving skills
  • Communication and stakeholder-management skills
Key Performance Indicators (KPIs)
  • Accuracy of cash-flow forecasting
  • Timely execution of payments and fund transfers
  • Optimal utilization of available funds
  • Reduction/optimization of borrowing and banking costs
  • Timely bank reconciliations
  • Compliance with treasury policies and controls
  • Accuracy and timeliness of treasury MIS
  • Effective management of banking relationships
Ideal Candidate

The ideal candidate should have strong analytical skills, good knowledge of banking and treasury processes, excellent attention to detail, and the ability to work effectively under tight payment and reporting deadlines. The candidate should also be comfortable coordinating with banks, finance teams, auditors, and senior management.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Treasury Manager
Treasury Manager

HRV Pharma • Hyderabad

On-site
INR 4,000,000 - 6,000,000
Assistant Treasury Manager
Assistant Treasury Manager

Exela Technologies • Navi Mumbai

On-site
INR 900,000 - 1,200,000
Treasury Manager
Treasury Manager

Bhanix Finance and Investment Limited (CASHe) • Mumbai City

On-site
INR 600,000 - 900,000
Treasury Operations & Administration Specialist
Treasury Operations & Administration Specialist

Consolidated Hrm Services • Navi Mumbai

Hybrid
INR 700,000 - 1,100,000
PF
Gratuity
Health Insurance
+1
Assistant Manager, Treasury
Assistant Manager, Treasury

BDO India • Mumbai

On-site
INR 900,000 - 1,700,000
Manager - Banking and Treasury
Manager - Banking and Treasury

SLN Coffee • Bengaluru

On-site
INR 1,200,000 - 1,800,000
Executive - Treasury
Executive - Treasury

Neuland • Hyderabad

On-site
INR 800,000 - 1,200,000
Treasury Manager
Treasury Manager

3 Point Hrm • Mumbai City

On-site
INR 3,500,000 - 6,000,000
Treasury Manager
Treasury Manager

CIEL HR • Chennai District

On-site
INR 3,500,000 - 7,000,000
Treasury Manager
Treasury Manager

JSW DULUX • Mumbai

On-site
INR 3,500,000 - 5,500,000