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Treasury Manager

ScaleneWorks


Job Location:

Pune - India

Monthly Salary: Not provided by the employer
Posted: 1 September 2026 (15 hours ago)
Application Deadline: 29 November 2026
Vacancies: 1 Vacancy

Job Summary

Roles & Responsibilities:
  1. Banking & Treasury Operations:
  • Manage banking transactions for 25 RERA registered projects including daily fund management payment processing and investment planning.
  • Ensure seamless coordination with project sites and banks for smooth treasury functioning.
  1. Payments & Reporting:
  • Oversee weekly payment processing and preparation of payable reports across all projects.
  • Monitor fund utilization and ensure optimal working capital management.
  1. Project Finance:
  • Support in preparing project finance proposals conducting due diligence and managing borrowing documentation.
  • Track and ensure adherence to borrowing covenants.
  1. RERA Compliance:
  • Ensure compliance with RERA guidelines including quarterly certifications and coordination for RERA audits.
  • Maintain updated records in accordance with RERA regulations.
  1. Treasury Reporting & Reconciliation:
  • Review monthly treasury reports including Bank Reconciliation Statements (BRS) Fixed Deposit (FD) registers and interest calculations.
  1. Audit & Compliance:
  • Assist in year-end statutory and internal audit activities related to treasury operations.
  • Ensure all treasury-related data and documentation are audit-ready.
  1. Banking Instruments:
  • Support in the issuance and management of Bank Guarantees (BG) and Letters of Credit (LC) in coordination with banks.


Competencies Required:
  • Strong analytical and problem-solving skills
  • High attention to detail and accuracy
  • Ability to work cross-functionally and under deadlines
  • Excellent communication and interpersonal skills
  • Proficiency in MS Excel and financial ERP systems

Who are we looking for

Qualification:
  • Chartered Accountant (CA)


Experience:
  • 5 years of post-qualification experience in treasury management preferably in real estate or infrastructure sectors.
Key Skills:
  • Treasury operations (payments investments working capital management)
  • Project finance and loan documentation
  • Strong knowledge of RERA compliance
  • Proficiency in bank relationship management
  • Hands-on experience with fund flow management BRS FD register and interest tracking
  • Exposure to audit and regulatory reporting
  • Knowledge of instruments like BG (Bank Guarantees) and LC (Letter of Credit)