





Strong employer brand, metro location, mid-level generalist treasury manager title.
Treasury, SOX, AML and bank reconciliation expertise are industry-specific and less transferable.
Explicit 5+ years requirement, SOX/AML controls and SAP familiarity increase filtering.
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Manage treasury accounting functions focusing on accuracy of cash accounting and its impact on financial reporting.
Lead treasury controls and reporting initiatives across the company, ensuring compliance with policies and effective cash controls.
Oversee a team supporting treasury cash controls, approve manual journal entries and bank reconciliations, and manage treasury compliance programs including SOX controls and anti-fraud frameworks.
5+ years of treasury or finance related experience.
Qualification: CA, M.Com, MBA in finance or equivalent; accounting designation preferred.
Knowledge of financial reporting, internal controls, and ability to lead change in banking processes and technology.
Location: Sector-62, Gurugram; Shift timings: 5:30 pm-2:00 am IST; Work mode: Hybrid.
Experienced leader in treasury or finance with proven ability to manage controls and compliance in a corporate treasury environment.
Skilled in financial reporting, internal controls, and treasury accounting processes with familiarity in cash management.
Comfortable working in a hybrid schedule with shift timings in evening to late night hours.