Overview

Treasury Manager Jobs in Mumbai, Maharashtra, India at Aditya Birla Fashion and Retail Ltd.

Title: Treasury Manager

Company: Aditya Birla Fashion and Retail Ltd.

Location: Mumbai, Maharashtra, India

Job Title: Manager – Treasury

Location: Mumbai

Company: Aditya Birla Fashion and Retail Limited (ABFRL)

About the Role

We are looking for a dynamic professional to join our Treasury team as a Senior Executive – Treasury. This role is critical in managing liquidity, optimizing cash flow, and supporting strategic financial operations across the organization.

Key Responsibilities

1. Treasury & Cash Management

  • Manage daily liquidity and ensure optimal utilization of funds in line with company policies
  • Prepare and monitor daily and monthly cash flow statements
  • Oversee debt levels and ensure efficient working capital management
  • Execute online fund transfers and maintain banking operations

2. Debt & Capital Market Activities

  • Support issuance of Commercial Papers (CPs) including documentation and listing with BSE
  • Maintain a balanced mix of long-term and short-term debt
  • Ensure compliance with lender requirements and timely financial submissions
  • Maintain and strengthen relationships with credit rating agencies

3. Banking & Financial Operations

  • Establish and manage credit lines to support liquidity needs
  • Collaborate with banks and financial institutions for treasury operations
  • Drive financial solutions such as vendor financing, debtor discounting, and operating leases

4. Reporting & Compliance

  • Prepare monthly MIS reports and submit to management within timelines
  • Support audits by resolving queries and providing required documentation
  • Ensure compliance with internal policies and external regulatory requirements

Key Challenges

  • Managing cash flow in a dynamic retail environment with long business cycles
  • Navigating liquidity constraints and ensuring availability of funds
  • Handling increased debt levels and maintaining financial stability
  • Delivering accurate and timely financial reporting aligned with book records

Stakeholder Management

  • Internal: Business and functional teams across divisions
  • External: Banks, auditors, and credit rating agencies

Preferred Qualifications & Skills

  • Strong understanding of treasury operations, cash flow management, and financial instruments
  • Experience in debt management and capital market instruments (Commercial Papers)
  • Proficiency in MIS reporting and financial analysis
  • Excellent stakeholder management and communication skills
  • Ability to work in a fast-paced, high-responsibility environment

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