





Tier-1 employer and Gurgaon metro increase competition, though role's treasury specialization narrows candidate pool.
Treasury operations requires specialized fund, cash and reconciliation skills, reducing cross-industry transferability.
Explicit 10–12 years, treasury domain expertise and preferred systems indicate high shortlisting strictness.
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Lead and manage global treasury operations vertical(s) ensuring operational excellence, compliance, and team development across APAC, EMEA, and US regions.
Drive strategic transformation initiatives including automation, process optimization, and treasury system integration in partnership with Technology and Operations teams.
Own key treasury operations such as capital call and FX reconciliations, cashbook maintenance, credit wire preparation, and audit responses while managing stakeholder relationships across functions and external banking partners.
Master’s degree in Finance, Accounting, or related discipline; professional certifications (CTP, CFA, CA, CPA) preferred but not mandatory.
10–12 years of experience in treasury, cash management, or financial operations within a global financial institution or asset manager with proven team leadership.
Experience with treasury workflows, controls, and operational risk management in a global multi-region context.
Work Experience Required: 10–12 years in relevant domain.
Experienced leader capable of managing high-performing teams across multiple geographies with ability to set priorities and develop talent in alignment with global treasury objectives.
Strong project execution skills in automation and system integration driving treasury digital transformation and process standardization.
Able to engage and influence senior leadership and cross-functional stakeholders with a global mindset balancing strategic and operational demands.