Business continues to expand, and the Company develops its global business infrastructure, the Corporate Treasury department has an exciting opportunity for a motivated Head - Treasury to help the Corporate and Regional Treasury team implement state-of-the art corporate finance and treasury processes and policies, and specifically manages the fixed income investment strategy and execution.
Other key responsibilities include supporting the selection and implementation of a new, global banking platform, assisting with capital market exposure management, and representing the Corporate and Regional Treasury department in the upcoming corporate-wide ERP implementation.
This position offers a great opportunity to develop into a broader role. This position is based in Chennai and requires a highly-motivated, action oriented, individual with strong analytical and project management skills, and excellent communications skills.
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