Assistant Vice President – Treasury Strategy Skillventory

The Corporate Institute

Mumbai

On-site

INR 2,000,000 - 3,500,000

Full time

14 days+

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Job summary

The Corporate Institute is seeking a strategic partner to the Head Group Treasury. You will drive governance, coordinate cross-functional projects and support fund-raising activities with analytical insights for executive decisions.

Ideal candidates bring MBA credentials and extensive experience in treasury, corporate strategy or PMO within financial services. The role emphasizes ownership, senior stakeholder interaction and fast-paced delivery.

Qualifications

  • MBA from a top B-School is essential.
  • Experience in management consulting, CEO/CFO office, corporate strategy, PMO, business finance or treasury.
  • Strong analytical and structured problem-solving ability.
  • Excellent PowerPoint, Excel and presentation skills.
  • Strong project management and stakeholder management capabilities.
  • Outstanding written and verbal communication skills.

Responsibilities

  • Provide strategic support to Head of Treasury, driving governance, coordination and follow-through on key priorities.
  • Manage critical treasury initiatives including ALCO meetings, fund-raising activities, regulatory engagements and other leadership priorities.
  • Coordinate with Treasury, Finance, Risk, Compliance, Legal and Business teams to ensure seamless execution of cross-functional initiatives.
  • Track action items, decisions and deliverables from leadership meetings and ensure timely closure through stakeholder management.
  • Prepare executive presentations, briefing notes, dashboards and management updates for senior leadership.
  • Coordinate information for regulators, auditors, rating agencies, lenders and investors with timely responses from stakeholders.
  • Drive planning and execution of ALCO, Treasury Committee and governance meetings (agenda management, documentation, action tracking).
  • Support fund-raising initiatives by coordinating due diligence, documentation and timelines.
  • Consolidate inputs from multiple stakeholders to develop management reports and decision-support materials.
  • Establish robust trackers, monitor milestones and escalate risks or delays to Head of Treasury.
  • Identify opportunities to simplify processes and improve efficiency through workflows and reporting.

Skills

Management consulting
CEO/CFO Office
Corporate strategy
PMO
Business finance
Treasury
PowerPoint
Excel

Education

MBA (top B school)

Tools

PowerPoint
Excel

Job description

Role Overview:

To serve as the strategic partner to the Head Group Treasury by driving key strategic initiatives, managing cross-functional projects, supporting treasury governance and fund-raising activities, and providing analytical and executive support to enable informed decision-making and effective execution.

Qualification:

Full time MBA top B School.

Essential Skills and Experience:
  • Relevant experience in Management Consulting, CEO/CFO Office, Corporate Strategy, PMO, Business Finance or Treasury within Banking, NBFCs or Financial Services.
  • Strong analytical and structured problem-solving ability.
  • Excellent PowerPoint, Excel and presentation skills.
  • Strong project management and stakeholder management capabilities.
  • Outstanding written and verbal communication skills.
  • High ownership, attention to detail and ability to work with senior leadership.
  • Ability to manage multiple priorities in a fast-paced environment.
Key Responsibilities:
  • Provide strategic support to the Head of Treasury, driving governance, coordination and follow-through on key priorities.
  • Manage critical treasury initiatives, including ALCO meetings, fund-raising activities, regulatory engagements and other leadership priorities.
  • Coordinate with Treasury, Finance, Risk, Compliance, Legal and Business teams to ensure seamless execution of cross-functional initiatives.
  • Track key action items, decisions and deliverables arising from leadership meetings, ensuring timely closure through effective stakeholder management.
  • Prepare executive presentations, briefing notes, dashboards and management updates for senior leadership.
  • Coordinate information requirements for regulators, auditors, rating agencies, lenders and investors, ensuring timely and accurate responses from relevant stakeholders.
  • Drive the planning and execution of ALCO, Treasury Committee and other governance meetings, including agenda management, documentation and action tracking.
  • Support fund-raising initiatives by coordinating due diligence requirements, documentation, stakeholder interactions and execution timelines.
  • Consolidate inputs from multiple stakeholders to develop high-quality management reports, presentations and decision-support materials.
  • Drive governance discipline by establishing robust trackers, monitoring milestones and escalating risks or delays to the Head of Treasury.
  • Identify opportunities to simplify processes, improve collaboration and enhance efficiency through structured workflows, automation and reporting improvements.
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