Website:
bigarkfinancial.com
Job details:
Company Description BigArk Financial is an investor-owned business that provides diversified financial solutions, including investment services and credit products. The organization focuses on delivering tailored financial offerings to meet the needs of a broad range of clients. BigArk FINANCIAL promotes a collaborative and performance-oriented environment for professionals seeking growth in the financial sector. The company is an Equal Opportunity Employer and considers all qualified applicants without regard to protected characteristics, in line with applicable laws. Applicants with criminal histories are also considered in a manner consistent with state and local regulations.
Role Description The Treasury Manager is a full-time, on-site role based in Gurgaon. This role is responsible for overseeing daily cash management, liquidity planning, and short-term investment activities to ensure adequate funding for operations. The Treasury Manager will monitor bank accounts, manage relationships with financial institutions, and optimize the company’s capital structure and cost of funds. The role includes preparing treasury reports, forecasting cash flows, supporting risk management initiatives, and ensuring compliance with internal controls and regulatory requirements. The Treasury Manager will collaborate with finance, accounting, and business teams to support strategic decision-making and continuous process improvement in treasury operations.
Qualifications
- Candidates should possess strong treasury and cash management skills, including cash flow forecasting, liquidity management, and bank account administration.
- Candidates should possess financial analysis and planning skills, with the ability to interpret financial statements, evaluate funding options, and support investment decisions.
- Candidates should possess risk management and compliance skills, including understanding of financial regulations, internal controls, and policies related to treasury activities.
- Candidates should possess proficiency with treasury management systems, Excel, and other financial tools used for reporting, modeling, and data analysis.
- Candidates should possess excellent communication and stakeholder management skills to work effectively with internal teams and external financial partners.
- Candidates should possess strong organizational and problem-solving skills, with attention to detail and the ability to manage multiple priorities.
- Bachelor’s degree in Finance, Accounting, Economics, Business, or a related field; a professional qualification an advantage.
- Relevant experience in treasury, corporate finance, or banking, preferably within the financial services industry, is strongly beneficial.
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