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Senior Manager - Treasury & Country Controlling

India, Pune · Job Posted January 21, 2026
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Job Description

We are seeking a highly skilled individual to lead Treasury and Cash Management operations and act as Country Controller for assigned markets. This role involves managing monthly financial close processes, IFRS-compliant reporting, hedge accounting, cash flow forecasting, loan accounting, and compliance across multiple markets. The individual will also coordinate external audits, drive system changes aligned with banking regulations, and support process improvements and automation initiatives.

Job Responsibility

  • Drive and manage Treasury and Cash Management operations, including daily cash forecasts and bank reconciliations
  • Oversee loan accounting and ensure accurate financial presentation
  • Ensure compliance with IFRS standards, including hedge and lease accounting
  • Collaborate with auditors to ensure timely and accurate audits without material misstatements
  • Provide financial analysis and insights (P&L, balance sheet, revenue and cost analysis) to support decision-making
  • Manage relationships with assigned markets as Country Controller, resolving process issues promptly
  • Lead process improvements, automation projects, and transformation initiatives
  • Monitor data quality and initiate corrective actions for outliers across markets
  • Support statutory and internal audits and address key observations
  • Align with local market teams for ad-hoc reporting and operational activities

Requirements

  • Chartered Accountant with 8–10 years of experience in finance and accounting
  • Strong knowledge of IFRS 9, IFRS 16, hedge accounting, and treasury operations
  • Proficient in SAP and Microsoft Office (Excel, Word, PowerPoint)
  • Excellent analytical, problem-solving, and stakeholder management skills
  • Skilled in project management and driving process improvements
  • Ability to present insights through data analysis and create dashboards and reports

What we offer

  • Opportunity to work on global financial operations and strategic projects
  • Exposure to multi-market processes and international compliance standards
  • Collaborative work environment with cross-functional teams
  • Career growth through involvement in transformation and automation initiatives

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