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Corporate Treasury Manager @ fghdjk

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 Corporate Treasury Manager

Job Description

Role & responsibilities

Treasury Team

Roles & Responsibilities

Daily Bank balance reconciliation.

  • Cash projection/forecasting/positioning.
  • Liquidity/Cash Management
  • Funding/balance confirmation to Accounts payables/Tax teams
  • Setting up manual wire payment in bank portal
  • Assist with banking activities such as documentation to open/close accounts, signatories, bank portal access, and account flows/structures and products.
  • Knowledge of Cash flow hedging (in risk management)
  • Track spot trade/hedge settlements.
  • Knowledge on pulling/using multiple FX rates.
  • Very good excel knowledge.

Job Classification

Industry: IT Services & Consulting
Functional Area / Department: Finance & Accounting
Role Category: Treasury
Role: Treasury Manager
Employement Type: Contract

Contact Details:

Company: fghdjk
Location(s): Hyderabad

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Keyskills:   Excellent Communication In English Financial Planning And Analysis treasury tools corporate treasury Liquidity Management Liquidity Projections Cash Management Cash Flow

 Fraud Alert to job seekers!

₹ 2-5 Lacs P.A

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