Treasury Manager

Siemens

Mumbai

On-site

INR 2,600,000 - 3,800,000

Full time

9 days ago

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Job summary

Siemens Ltd, India is seeking a Treasury Manager to oversee currency management, hedge accounting, and risk mitigation across Siemens’ businesses from Worli, Mumbai.

The role requires 7+ years in treasury/finance, strong SAP/MS Office skills, and a track record in digitalization and process optimization. You will coordinate with global teams and advise on hedging strategies and accounting implications.

Qualifications

  • CA/Cost Accountant or MBA Finance with relevant degree.
  • 7+ years in treasury/finance, currency/commodity risk.
  • Experience in process optimization and digitalization.
  • Strong SAP and MS Office proficiency.

Responsibilities

  • First point of contact for currency management tasks.
  • Collate exposure, review cash flows, and manage hedge requests.
  • Provide rates for offer calculations and monitor contingent exposure.
  • Report Net FX Position monthly; quarterly hedging reports.
  • Advise on hedge accounting and embedded derivatives.
  • Collaborate with regional teams and drive automation.
  • FX dealing: execute hedge deals and monitor hedge book.
  • Liquidity: manage deposits to optimize returns.

Skills

Currency management
Hedge accounting
Stakeholder management
Automation/digitalization

Education

Chartered Accountant
Cost Accountant
MBA in Finance

Tools

SAP
MS Office

Job description

Treasury Manager - Siemens Ltd, India

In country Reporting to : Head – Treasury Risk Management, South Asia

Functional Reporting to : Head – Risk Advisory within Global Treasury Risk Management (TRM) team based out of Germany

Team : Individual contributor

Location : Worli, Mumbai

Coverage : Siemens Ltd, India’s all businesses: Digital industries, Smart Infrastructure, Mobility& Siemens Group Companies

Job Description
  • First point of contact for all Currency Management tasks for businesses; Support the Business/Project Commercial Managers in the identification of foreign currency risks & advise on mitigation of such risk including assessing the level of risk mitigation in case of currency clause usage
  • Collate foreign currency exposure from businesses, review project cash flows together with the Project Commercial Managers and initiate consolidated hedge requests to Fx Trader; Monitor the outstanding hedge book and give timely updates to Fx Trader to initiate rollovers/cancellations based on changes to underlying exposures and expected cashflow. Identifying & hedging Balance sheet exposures in line with Siemens policy
  • Provide rates for offer calculation to the businesses and monitor significant contingent foreign currency exposure, post updating the offer calculation rate every month
  • Report monthly Net Foreign Currency Position and also, on a quarterly basis, report to management on foreign currency & commodity exposure & hedging status
  • Advise the Commercial Managers on the appropriate application of Hedge Accounting and the accounting impact of foreign currency transactions and support in the identification of Embedded Derivatives
  • Management of Stakeholders - Must build transparency and trust across all partners; Collaborate effectively with business teams & other regional currency management teams outside India, implement standard methodologies, with a clear focus on digitalization & automation
  • FX Dealing:
    • Executing deals with banks and exchanges to hedge Siemens’ Fx & commodity exposure and managing Siemens’ hedge book
    • Demonstrating proficiency and adhering to market best practices in all dealings in the market
    • Managing reporting requirements in line with Central bank regulations and Siemens internal guidelines
    • Continuously monitor and improve the existing Fx & commodity exposure management landscape by designing and implementing automated risk management processes
Liquidity Management
  • Placement of deposits with banks or group companies / mutual funds – adhering to internal policies, counterparty limits and external regulations; achieving optimal returns on surplus funds by following best market practices
We don’t need superheroes, just super minds
  • You are a qualified Chartered Accountant or Cost Accountant or have completed a university Master’s degree in business administration (with specialization in finance) or a similar field
  • You bring at least 7+ years of professional experience in a corporate treasury/finance environment, preferably in areas of foreign exchange & commodity risk exposure management and/or business commercial / project finance
  • Experience in crafting and optimizing processes is required, preferably within a digitalization & automation context
  • Experience in project management by delivering projects by yourself beyond daily operational tasks
  • Ability to manage multiple partners’ expectations. Intense collaboration with the businesses will be the key
  • Good knowledge of accounting incl hedge accounting required. Proficient in SAP & MS office suite

#SL

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