Treasury Manager

Nusummit

Mumbai

On-site

INR 3,000,000 - 6,000,000

Full time

27 hours ago
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Job summary

Nusummit in Mumbai seeks a Treasury & Risk Manager to oversee the organization’s treasury function and enterprise risk framework for a global IT services business. The role emphasizes liquidity management, FX exposure optimization, and robust risk governance aligned with growth goals.

Responsibilities include RBI/FEMA compliance, hedge accounting under Ind AS 109, and transforming treasury processes with automation and TMS solutions. Reports to the CFO and guides strategic finance decisions.

Qualifications

  • CA, MBA in Finance or CFA equivalent, with certifications as applicable.
  • 10–15 years of experience in corporate treasury, preferably IT services or BPO.
  • Strong experience managing forex risk in a multi-currency environment.
  • Exposure to RBI/FEMA, SEZ/STPI regulations and cross-border flows.
  • Advanced analytical and financial modeling skills; stakeholder management.

Responsibilities

  • Lead treasury and liquidity management for global operations.
  • Develop hedging strategies to stabilize revenue and EBITDA forecasts.
  • Oversee working capital optimization and receivables management.
  • Manage RBI/FEMA compliance and regulatory reporting.
  • Partner with CFO and leadership on treasury governance and risk.
  • Digitize cash forecasting, hedging, and risk reporting processes.

Skills

Stakeholder management
Analytical & financial modeling
Strategic mindset
FX risk management
Multi-currency treasury

Education

CA
MBA (Finance)
CFA or equivalent

Tools

Treasury Management Systems (TMS)

Job description

Job Title: Treasury & Risk Manager (IT Services)
Role Summary:

The Treasury & Risk Manager will be responsible for the organization’s treasury function and enterprise risk framework for a global IT services business. The role focuses on managing liquidity, optimizing foreign exchange exposures, safeguarding cash flows from international clients, and ensuring robust risk management practices aligned with the company’s growth strategy.

Key Responsibilities
  • Treasury & Liquidity Management
  • Lead cash flow planning, liquidity management, and global cash visibility
  • Manage multi-currency cash flows driven by export revenues
  • Optimize working capital with special focus on receivables management
  • Oversee short-term and long-term funding strategies as applicable
  • Monitor DSOs, billing cycles, and collection efficiencies
  • Manage foreign exchange exposures arising from export revenues and onsite costs, ensuring compliance with RBI/FEMA guidelines and hedge accounting standards (Ind AS 109)
  • Develop and execute hedging strategies to offer predictability in revenue and EBITDA forecasts.
  • Develop and implement enterprise-wide risk management frameworks for key risks such as - Currency risk, Client concentration risk, Geopolitical risks, Cybersecurity and operational risks, etc.
  • Establish risk governance, reporting dashboards, and mitigation strategies through automation.
Banking & Global Operations
  • Manage Banking relationships for transactional banking, international banking to ensure smooth fund flows and regulatory compliance
  • Optimize banking structures (cash pooling, intercompany funding, repatriation strategies, transaction costs)
  • Define customer credit policies and monitor exposure to key clients
  • Work with sales and delivery teams to mitigate collection risks
  • Manage bad debt provisioning and credit insurance
  • Develop and implement an investment policy to manage surplus cash in line with risk appetite and liquidity requirements
  • Invest in liquid instruments while ensuring capital safety
Compliance & Regulatory Oversight
  • Ensure compliance with:
  • RBI and FEMA regulations
  • Export-related regulations (SOFTEX, STPI/SEZ requirements)
  • Companies Act and tax regulations affecting cross-border flows
  • Oversee documentation for intercompany loans, guarantees, and hedging contracts
Strategic Finance Support
  • Support pricing strategy by providing FX insights for large deals
  • Partner with business teams on margin protection initiatives
  • Competitor and market intelligence and analysis for benchmarking.
Systems & Process Transformation
  • Digitize and automate cash forecasting, hedging, and risk reporting processes
  • Implement automated and AI driven Treasury Management Systems (TMS) solutions
  • Strengthen internal controls and audit readiness
  • Drive alignment between treasury strategy and business growth
  • Act as a strategic advisor to CFO and executive leadership
  • Lead transformation initiatives in treasury digitization and risk governance
  • Maintain strong risk culture and compliance discipline
Qualifications & Experience
  • Chartered Accountant (CA), MBA (Finance), CFA or equivalent
  • 10–15 years of experience in corporate treasury of IT services /BPO.
  • Strong experience managing forex risk in a multi-currency environment
  • Exposure to regulatory framework for India (RBI/FEMA, SEZ/STPI), US, Middle East.
  • Expertise in Cash flow management, FX risk management and hedging strategies
  • Strong understanding of IT services financial model (offshore-onsite mix, billing cycles)
  • Advanced analytical and financial modeling skills
  • Strong stakeholder management across global teams
  • Strategic mindset with ability to link treasury to profitability
  • Drive alignment between treasury strategy and business growth
  • Act as a strategic advisor to CFO and executive leadership
  • Lead transformation initiatives in treasury digitization and risk governance
  • Maintain strong risk culture and compliance discipline
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