EU

Assistant Manager - Treasury

Eurofins It Solutions India
Bangalore11-13 LPA Posted 3 Oct 2025
FULL TIME
Cash Flow Management
Investment Analysis
Financial Compliance
Treasury Operations
Risk Management

Job Description

Job Responsibilities:

1. Cash Management

  • Monitor and manage the company's daily cash position to ensure adequate liquidity for operational requirements.
  • Develop and implement short-term and long-term cash forecasting models.
  • Coordinate and execute daily cash movements including internal fund transfers, payments, and external funding needs.

2. Bank Relationships

  • Manage and maintain strong relationships with banks and financial institutions.
  • Negotiate favorable terms for banking services, including fees, credit lines, and transaction processes.
  • Stay up to date with banking innovations and recommend relevant enhancements.

3. Investment Management

  • Develop and execute investment strategies to maximize returns on surplus cash.
  • Conduct risk-return analyses to evaluate investment options.
  • Monitor and report on investment performance regularly to senior management.

4. Risk Management

  • Identify and assess financial risks including interest rate, foreign exchange, and credit exposure.
  • Monitor market developments, economic trends, and regulatory changes to anticipate and mitigate risks.
  • Ensure compliance with internal risk policies and external financial regulations.

Join WhatsApp Channel