
Treasury Operations Specialist
NicheHR Global · Posted today
- Mumbai, Maharashtra, India (On-site)
- Full-time
- 2-3 yrs
About the role
Treasury Analyst – India
Location: Mumbai, India
Role Purpose
The Treasury Analyst will support day-to-day treasury operations, including liquidity tracking, banking coordination, FX monitoring, trade finance documentation, and regulatory compliance for the India business. The role will work closely with the Treasury Manager, banks, and internal finance teams to ensure smooth funding operations and compliance.
Key Responsibilities
- Liquidity & Cash Flow Management
- Participate in bank loan and cash flow discussions with internal stakeholders
- Support short-term funding planning and liquidity monitoring
- Coordinate intercompany fund transfers and bank reconciliations
- Banking & Credit Facility Management
- Track utilization of working capital limits, LCs, BGs & other facilities
- Support renewal of existing bank facilities
- Assist in preparation of loan documentation and security creation processes
- Handle quarterly / monthly bank compliance submissions and respond to bank queries
- Maintain facility trackers including headroom and covenant monitoring
- Export & Regulatory Compliance
- Monitor export inward remittances
- Manage Export Data Processing and Monitoring System (EDPMS) closure documentation
- Ensure RBI & FEMA compliance for trade and FX transactions
- FX & Forward Contract Management
- Track INR exposure for import/export transactions
- Execute and monitor forward contracts (FWD contract management)
- Maintain hedge register and prepare FX exposure MIS
- Support FX deal documentation and reporting
- Bank Account & Operational Treasury Management
- Manage bank account operations including new account opening
- Coordinate change in authorized signatories and bank mandate updates
- Maintain updated records of banking documentation
- Ensure smooth coordination with banks for operational matters
- Reporting & Governance
- Prepare treasury MIS for management review
- Support lender reporting and audit requirements
- Ensure adherence to internal treasury policies and payment controls
- Coordinate with finance, procurement, and sales teams for documentation support
Candidate Profile
- CA
- 2–3 years of experience in corporate treasury / banking operations / trade finance
- Hands-on exposure to:
- Bank loan documentation
- EDPMS closure
- Working capital limits & LC handling
- Forward contract execution
- Basic knowledge of RBI regulations & FEMA compliance
- Strong Excel & reporting skills
- Experience with SAP / ERP preferred
- Good coordination and communication skills
Skills
Liquidity trackingBanking coordinationFX monitoringTrade finance documentationRegulatory complianceShort-term funding planningIntercompany fund transfersBank reconciliationsLC managementLoan documentation preparation and security creation processes