Quess Corp Limited
Website:
quesscorp.com
Job details:
Company Overview
Quess Corp Limited is India’s largest staffing and workforce solutions company and a global leader in the space. Through deep domain expertise and AI-driven digital platforms, we help businesses enhance productivity with future-ready talent.
With a workforce of 480,000+ across eight countries and 2,200 global clients, Quess has grown from a start-up to an industry powerhouse in just 18 years. Our international presence spans Singapore, Malaysia, the Philippines, Vietnam, Sri Lanka, the UAE, and the US.
Our business lines include General Staffing, IT Solutions, Recruitment & RPO, International Mobility, TaskMo (Gig Workforce), Origint (GCC Solutions), Hamara Suite (Digital Platforms), and Shared Services & COE in Jaipur.
Quess ranks #19 among India’s Best Workplaces 2025, is certified Great Place to Work for the seventh consecutive year (2026), and has been recognised by Staffing Industry Analysts (SIA) as India’s No.1 staffing company (2025) and 37th globally (2024).
Job Title: Treasury Manage
rLocation: Bangalore/Mumba
iReporting To: Sr VP and Head- Treasury & Investor Relation
s
Role Summar
y:We are seeking an experienced and dynamic professional to join our team as Manager- Treasury. The ideal candidate will have 3-8 years of progressive experience in treasury management comprising of liquidity management, and cash flow forecasting. He/She will be responsible for ensuring optimal management of cash, liquidity, financial risks, and funding strategies to support the organization’s strategic objective
s.
Key Responsibiliti
es:
1) Liquidity & Cash Flow Managem
- ent:Manage liquidity and cash flow on a daily, weekly, and monthly basis to ensure smooth operati
- ons.Develop and maintain detailed cash flow forecasts, ensuring liquidity to meet operational needs while optimizing interest in
come2) Fund Managem
- ent: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 te
- rms.Execute cash investments and monitor interest rate trends for effective deployment of excess fu
nds.3) Risk Managem
- ent:Identify, assess, and mitigate treasury-related risks, including interest rate, currency, and liquidity ri
- sks.Implement and monitor hedging strategies to minimize financial exposure related to foreign exchange and interest rate fluctuati
ons.4) Banking Relationships & Negotiati
- ons:Manage and optimize relationships with banking partners, ensuring the company has access to the best terms for lending, borrowing, and other treasury servi
- ces.Negotiate and manage banking facilities, credit lines, and terms with financial instituti
ons.5) Bank Guaran
- tee:Oversee bank guarantee lifecycle management, including coordination with banks, tracking validity, limits, and timely renewals to avoid lap
ses.6) Cash Management & Forecast
- ing:Lead efforts in cash position analysis, and recommend efficient cash management techniq
- ues.Maintain accurate and up-to-date cash flow projections to support budgeting and financial plann
ing.7) Treasury Report
- ing:Prepare and present accurate, comprehensive treasury reports to Head Treasury, including cash forecasts, financial risks, and treasury performance metr
- ics.Ensure timely reporting of liquidity and financial positions to Head Treas
ury.8) Forex Operati
- ons:Responsible for processing and executing forex transactions, coordinating with banks for rate confirmations and settlements, and maintaining accurate deal reco
- rds.Ensure proper documentation and compliance with RBI/FEMA guidelines for all remittances and forex contra
cts.9) Regulatory & Compliance Managem
- ent:Ensure compliance with regulatory requirements related to treasury activities, including local and international banking regulati
- ons.Work closely with the internal audit and risk management teams to ensure adherence to financial controls and treasury polic
ies.
Ideal Candidate Pr
- ofileExperience: 3-8 years of experience in treasury, fund management, short term borrowing, liquidity management, and cash flow management, ideally in a corporate or financial institution set
- ting.Proven experience in managing treasury functions, including cash forecasting, liquidity optimization, and financial risk manage
- ment.
Skills & Compete - ncies:Strong analytical and financial modeling s
- kills.High proficiency in treasury management systems (TMS) and financial software
- tools.Excellent negotiation skills and experience managing banking relation
- ships.Solid understanding of regulatory frameworks and financial risk management prac
- tices.Strong communication, and interpersonal s
kills.
Education & Qualification r
- equiredMBA or CA qualified pr
eferred
Why
- Join Us?We are India’s Largest Staffing Company with 480,000 + associates
- with SIAWe are a listed Company with NSE &
- amp; BSERanked amongst the Top 5 Staffing companies globally by h
- eadcountTop 37 Largest Global Staffing Firms
- in 2024We have been awarded the Great Place to work for the 6th consecut
ive year
Click on Apply to know more.