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Treasury Manager

Manage cash flow, banking relationships, and working capital across the group.

Team
Finance
Location
Delhi NCR
Arrangement
On-site
Type
Full-time
Level
Senior
Experience
6+ years
01

The role

Own cash flow forecasting, banking relationships, and working capital management as the company scales across capital-intensive business lines.

02

Requirements

  • Six or more years in treasury or corporate finance
  • Strong cash flow forecasting and banking relationship skills
  • Comfortable managing working capital across multiple entities
03

Nice to have

  • Manufacturing or capital-intensive sector treasury experience
  • Trade finance or LC experience
Hiring
What happens next
01
We read it

A person reads every application. No keyword filter.

02
Reply

Within 5 working days if there is a fit.

03
Conversation

90 minutes with the people you would work with.

04
Paid trial

A real, scoped problem. Paid at contract rate.

Application

Send your work.
Skip the theatre.

Resume, a short note, and anything that shows how you think. Specifics beat adjectives.

  • Show something you built, not something you managed.
  • Scale, constraints, and trade-offs land better than adjectives.
  • A short note reads better than a long one.
[email protected]
Closes 7 December 2026 · Treasury Manager
Apply

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