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Quess
66 Quess Jobs
Head - Treasury (12-15 yrs)
Quess
posted 17hr ago
Flexible timing
Key skills for the job
About Business:
Quess Corp Limited is India's leading business services provider, leveraging our extensive domain knowledge and future-ready digital platforms to drive client productivity through outsourced solutions. We provide a host of technology-enabled staffing and managed outsourcing services across processes such as sales & marketing,customer care, after-sales service, back office operations, telecom operations, manufacturing operations,
facilities and security management, HR & F&A operations, IT & mobility services, etc. Our passion for delivering exceptional services, augmented by proprietary digital platforms, has strongly established our credentials as India's largest employer in the private sector and the biggest integrated business services provider in the country.
With 600,000+ employees spread across 9 countries, we serve over 3,000 clients. We are proud to achieve this success as a 17 years old start-up. Established in 2007 and headquartered in Bengaluru, Quess today has an unmatched geographic presence and scale with more than 96 offices across India, South East Asia, North America and the Middle East, backed by technology intensity and domain specialization to create exceptional service experiences.
Position Overview:
We are seeking an experienced and dynamic professional to join our team as the Head of Treasury. The ideal candidate will have 12-15 years of progressive experience in treasury management, including fund management, liquidity management, and cash flow forecasting. The Head of Treasury will be responsible for overseeing the company's treasury operations, ensuring optimal management of cash, liquidity, financial risks, and funding strategies to support the organization's strategic objectives.
Key Responsibilities:
1. Liquidity & Cash Flow Management:
o Oversee the company's liquidity position and manage cash flow on a daily, weekly, and monthly basis to ensure smooth operations.
o Develop and maintain detailed cash flow forecasts, ensuring liquidity to meet operational needs while optimizing interest income
2. Fund Management:
o Strategize and execute the company's funding requirements, including debt and equity management, to optimize capital structure.
o Manage short-term and long-term funding strategies, working closely with internal and external stakeholders to ensure access to sufficient funds at the most competitive terms.
o Supervise cash investments and monitor interest rate trends for effective deployment of excess funds.
3. Risk Management:
o Identify, assess, and mitigate treasury-related risks, including interest rate, currency, and liquidity risks.
o Implement and monitor hedging strategies to minimize financial exposure related to foreign exchange and interest rate fluctuations.
4. Banking Relationships & Negotiations:
o Manage and optimize relationships with banking partners, ensuring the company has access to the best terms for lending, borrowing, and other treasury services.
o Negotiate and manage banking facilities, credit lines, and terms with financial institutions.
5. Cash Management & Forecasting:
o Lead efforts in cash position analysis, and recommend efficient cash management techniques.
o Maintain accurate and up-to-date cash flow projections to support budgeting and financial planning.
6. Treasury Reporting:
o Prepare and present accurate, comprehensive treasury reports to senior management, including cash forecasts, financial risks, and treasury performance metrics.
o Ensure timely reporting of liquidity and financial positions to key stakeholders.
7. Team Leadership & Development:
o Lead and mentor the treasury team, fostering a collaborative and high-performance environment.
o Ensure ongoing professional development and training to build a knowledgeable and skilled team.
8. Regulatory & Compliance Management:
o Ensure compliance with regulatory requirements related to treasury activities, including local and international banking regulations.
o Work closely with the internal audit and risk management teams to ensure adherence to financial controls and treasury policies.
9. Strategic Advisory:
o Partner with senior leadership on strategic initiatives, providing expertise in capital structure optimization, investment decisions, and risk management strategies.
Qualifications:
Education: CA qualified
Experience:
o 12-15 years of experience in treasury, fund management, liquidity management, and cash flow management, ideally in a corporate or financial institution setting.
o Proven experience in managing treasury functions, including cash forecasting, liquidity optimization, and financial risk management.
o Strong expertise in financial markets, hedging strategies, and fund management.
Skills & Competencies:
o Strong analytical and financial modeling skills.
o High proficiency in treasury management systems (TMS) and financial software tools.
o Excellent negotiation skills and experience managing banking relationships.
o Solid understanding of regulatory frameworks and financial risk management practices.
o Strong leadership, communication, and interpersonal skills.
Why Join Us?
Opportunity to shape the strategic direction of a leading organization.
Work in a dynamic and fast-paced environment.
Competitive compensation package and benefits.
A collaborative and innovative corporate culture
Functional Areas: Other
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