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Posted on 5 Mar, 2026
In Office
Job Description | Responsibilities
- Monitor and manage the company's cash position and bank account balances.
- Execute cash management activities, including cash forecasting, cash flow analysis, and fund transfers.
- Coordinate with banks and financial institutions for various treasury-related transactions.
Overview
- Industry - IT - Consulting Services / Advisory Services
- Functional Area - Banking / Credit Cards / E-Commerce Payment Gateway
- Job Role - TREASURY, Treasury Operations Manager
- Employment type - Full Time
- Work Mode - In Office
Qualifications
- Any Graduate - Any Specialization
- Any Post Graduate - Any Specialization
- Any Doctorate - Any Specialization
Job Related Keywords
Treasury Executive
Treasury Operations
Accounting
Cash Flow Management
Banking Operations
Treasury Accounting