





Global brand and metro location increase competition, but niche treasury skillset limits applicant pool.
Treasury expertise, bank relationships, and regulatory/IFSC knowledge make cross-industry transfers limited.
Explicit 8–10 years requirement plus mandatory treasury, TMS, and regulatory expertise increases shortlisting strictness.
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Support Head of Treasury in strategic treasury initiatives and operational improvements.
Manage bank relationships, bank guarantee facilities, and daily treasury operations including cash management and FX transactions.
Prepare treasury MIS reports, dashboards, and ensure compliance with regulatory and internal controls.
Post-graduate degree in Finance, Accounting, Economics or related field (MBA Finance, CA, CFA or equivalent).
8-10 years of relevant treasury experience in banking or finance companies.
Experience managing treasury operations including bank relationships, guarantee facilities and cash management.
On-site location: Ahmedabad, Gujarat; proficiency with Treasury Management Systems (preferably Kyriba).
Experienced in treasury operations with strong knowledge of cash management, banking products, and treasury technology.
Ability to handle strategic and operational aspects including policy implementation, reporting, and stakeholder coordination.
Capable of managing teams and working across functions and geographies with high integrity and confidentiality.