Vacancy Description
Job Description
- Manage domestic and international payment processes including Telegraphic Transfer (TT), Letter of Credit (L/C), and other treasury transactions.
- Oversee cash flow forecasting, liquidity planning, and monitoring of company bank balances to ensure operational efficiency.
- Handle corporate banking relationships, including coordination with banking partners for operational and strategic financial matters.
- Manage trade finance activities including Letter of Credit (Sight & Usance), hedging processes, and multi-currency facility utilization.
- Ensure compliance with banking requirements, KYC documentation, credit agreements, and internal financial policies.
- Review and authorize payment transactions through internet banking while ensuring payment accuracy and governance compliance.
- Coordinate with internal stakeholders including Procurement, Accounting, Tax, and HC Operations regarding payment and tre...
Ready to Apply?
अभी आवेदन करें
Submit your application for Treasury Manager at MODENA
Apply for this Position