ASSISTANT MANAGER - Treasury

Sansera Engineering Limited

Bengaluru

On-site

INR 2,800,000 - 4,000,000

Full time

35 hours ago
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Job summary

Sansera Engineering Limited is seeking a Treasury Manager to lead cash and liquidity management, optimize working capital, and manage banking relationships across domestic and international operations. The role involves FX risk management, debt oversight, and treasury process improvements.

The candidate should have extensive experience in corporate finance, banking relationships, and ERP/TMS systems, with strong analytical and negotiation skills.

Qualifications

  • Strong knowledge of Treasury, Corporate Finance, Banking, and Working Capital Management.
  • Hands-on experience in cash management, working capital, FX, trade finance, banking, and borrowings.
  • ERP/SAP experience; Treasury Management System exposure is an advantage.
  • Advanced MS Excel and financial modelling.

Responsibilities

  • Cash & liquidity management including daily cash flow forecasting and fund positioning.
  • Manage bank relationships and negotiate facilities, pricing, and terms.
  • Oversee FX hedging strategies and monitor exchange-rate movements.
  • Manage Letters of Credit and other trade finance instruments; ensure compliance with requirements.
  • Monitor debt, borrowings, covenants, and opportunities for refinancing.
  • Coordinate working capital optimization with AR/AP and procurement teams.
  • Prepare treasury MIS and regular liquidity/operating metrics reports.
  • Ensure adherence to treasury policies, controls, and regulatory requirements.

Skills

Treasury knowledge
Financial modelling
Advanced Excel
Analytical skills
Negotiation
Stakeholder management
Presentation skills

Tools

SAP
Treasury Management System

Job description

Job Title: Treasury Manager
Designation: Manager / Senior Manager – Treasury
Department: Finance
Location: Bengaluru
Reporting To: Head – Finance / CFO

PRIME FUNCTION

To manage and optimize Sansera’s treasury operations, including cash and liquidity management, banking relationships, working capital, foreign exchange, trade finance, investments, borrowing, and financial risk management. The role will ensure adequate liquidity, effective utilization of funds, compliance with treasury policies, and minimization of financial and FX risks across the Sansera Group.

JOB DESCRIPTION / RESPONSIBILITIES
1. Cash & Liquidity Management
  • Manage daily cash flow, fund positioning, and liquidity requirements across the organization.
  • Prepare short-term and long-term cash flow forecasts and monitor actuals against projections.
  • Ensure adequate availability of funds for working capital, capex, debt servicing, and other business requirements.
  • Optimize surplus cash utilization and minimize idle funds and finance costs.
  • Monitor inter-company fund movements and ensure efficient utilization of group liquidity.
  • Manage relationships with banks and financial institutions across domestic and international operations.
  • Negotiate banking facilities, pricing, interest rates, transaction charges, and other commercial terms.
  • Monitor working capital limits, fund-based and non-fund-based facilities.
  • Coordinate with banks for account management, payment solutions, guarantees, LC facilities, and other treasury requirements.
  • Review banking arrangements periodically and identify opportunities for cost optimization.
  • Monitor foreign currency exposures arising from exports, imports, loans, and other business transactions.
  • Develop and execute appropriate FX hedging strategies in line with company policy.
  • Monitor exchange-rate movements and evaluate their impact on profitability and cash flows.
  • Ensure timely execution, documentation, accounting, and reporting of FX hedging transactions.
  • Coordinate with business and finance teams to identify and mitigate currency risks.
4. Trade Finance
  • Manage Letters of Credit (LC), Bank Guarantees (BG), and other trade finance instruments.
  • Ensure timely issuance, amendment, renewal, and closure of LCs/BGs.
  • Coordinate with banks and internal stakeholders for import/export-related transactions.
  • Ensure compliance with applicable banking and regulatory requirements.
5. Borrowings & Debt Management
  • Monitor existing loans, working capital borrowings, repayment schedules, and interest costs.
  • Support the CFO/Finance leadership in evaluating new borrowing requirements and financing options.
  • Track debt covenants, security documentation, and other lender requirements.
  • Evaluate opportunities for refinancing and optimization of the company's cost of funds.
6. Working Capital Management
  • Partner with Accounts Receivable, Accounts Payable, Procurement, and Business teams to optimize working capital.
  • Monitor receivables, payables, inventory, and cash conversion cycle.
  • Identify opportunities to improve cash flow and reduce working capital requirements.
  • Prepare working capital dashboards and management reports.
7. Treasury Reporting & MIS
  • Prepare daily/weekly/monthly treasury reports covering cash position, liquidity, borrowings, FX exposure, and investments.
  • Provide treasury MIS and analytical reports to senior management.
  • Monitor key treasury KPIs and highlight deviations, risks, and corrective actions.
  • Support management with financial and liquidity analysis for strategic decisions.
8. Compliance & Controls
  • Ensure treasury transactions are executed in accordance with approved policies, delegated authorities, and internal controls.
  • Maintain proper documentation and audit trails for treasury transactions.
  • Coordinate with Internal Audit, Statutory Audit, and other stakeholders for treasury-related matters.
  • Ensure compliance with applicable RBI, FEMA, Companies Act, tax, and other regulatory requirements.
9. Process Improvement & Digitalization
  • Drive standardization and automation of treasury processes across plants/business units.
  • Identify opportunities for improving cash visibility, payment processes, reporting, and controls.
  • Support implementation/enhancement of ERP and treasury management systems.
  • Establish robust treasury governance and control mechanisms.
AUTHORITY
  • Recommend and execute treasury transactions within the approved delegation of authority.
  • Liaise and negotiate with banks and financial institutions within approved limits.
  • Recommend appropriate FX hedging strategies based on exposure and company policy.
  • Recommend optimization of banking facilities, borrowing costs, and cash utilization.
  • Review and recommend improvements to treasury processes, controls, and banking arrangements.
  • Escalate material liquidity, FX, interest-rate, or financial risks to the Finance leadership.
JOB SPECIFICATION / COMPETENCY
Education
  • Strong knowledge of Treasury, Corporate Finance, Banking, and Working Capital Management.
Experience
  • 8–12 years of relevant experience in Treasury / Corporate Finance.
  • Experience in a manufacturing / automotive / engineering / export-oriented organization will be preferred.
  • Hands‑on experience in cash management, working capital, FX, trade finance, banking, and borrowings.
  • Treasury and cash‑flow management.
  • Forex exposure and hedging.
  • LC/BG and trade finance.
  • Working capital management.
  • Bank relationship management.
  • Debt and interest‑cost management.
  • RBI/FEMA and regulatory compliance.
  • Advanced MS Excel and financial modelling.
  • ERP/SAP experience; Treasury Management System exposure is an advantage.
  • Strong analytical and financial acumen.
  • Negotiation and stakeholder management skills.
  • Commercial orientation.
  • Decision‑making and problem‑solving ability.
  • High level of integrity and confidentiality.
  • Strong communication and presentation skills.
  • Ability to work with senior management, banks, auditors, and cross‑functional teams.
PERFORMANCE MEASURES
  • Accuracy and reliability of cash-flow forecasting.
  • Effective liquidity management and fund availability.
  • Reduction in finance and banking costs.
  • Optimization of working capital and cash conversion cycle.
  • Effective management of FX exposure and hedging.
  • Timely management of LC/BG and trade finance transactions.
  • Compliance with treasury policies and regulatory requirements.
  • Effective management of banking relationships.
  • Timely and accurate treasury MIS/reporting.
  • Process automation, control improvement, and treasury efficiency.
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