Job Description
Treasury Manager
Req ID:  26821
Country:  India
Job Location: 

Plot No 60/A Gandhi Nagar IDA Kukatpally
Kukatpally, Telangana 500037

JOB Description : Treasury Manager 

Treasury & Cash Flow Management 

  • Manage daily treasury activities and banking operations.
  • Prepare daily, weekly, and monthly cash flow forecasts.
  • Monitor cash positions and ensure adequate liquidity.
  • Coordinate with banking partners regarding transactions, banking facilities, and account management.
  • Monitor international transactions and specified domestic transactions.
  • Coordinate fund transfers and optimize cash utilization
  • Coordinate with Corporate Treasury and compliance with company policies

 

Accounts Payable (AP) & Receivables (AR)

  • Process supplier invoices.
  • Verify invoices against Purchase Orders and supporting documentation.
  • Ensure timely payments to suppliers and service providers.
  • Monitor vendor balances and resolve payment-related issue
  • Manage intercompany receivables and settlements.
  • Monitor outstanding balances and follow up on collections.
  • Reconcile customer and intercompany accounts regularly.
  • Support invoicing and collection activities.
  • Coordinate with Corporate AP & AR and compliance with company policies

 

Travel Management

  • Administer employee travel requests and expense claims.
  • Ensure compliance with company travel policies.
  • Coordinate travel-related payments and reconciliations.
  • Monitor travel expenses and prepare related reports

 


Qualifications

Education

  • Bachelor’s degree in Finance, Accounting, or related field
  • MBA, M.com in Finance or related field preferred.

 

 

Experience

  • 5+ years of progressive experience in Finance & Accounting operations
  • Experience within aerospace, defence, advanced manufacturing, engineering, industrial, or multinational organizations preferred.
  • Working knowledge in SAP: suppliers and customers management mainly.

 

 


Key Competencies

 

  • Treasury and Cash Flow Forecasting and Financials reporting
  • Accounts Payable & Accounts Receivable Management
  • Bank relationship
  • Advanced Microsoft Excel
  • Analytical and Problem-Solving Skills

Reporting Relationship

Reports To: CFO – ITP Externals India Pvt Ltd

Direct Reports: None