Posted By
Posted in
Banking & Finance
Job Code
1597919

Job Purpose
We are looking for a strategic and experienced professional to lead our Treasury and Back Office operations within the Finance & Accounts department.
The role is pivotal in managing liquidity, investment settlements, automation, and compliance in line with IRDAI regulations and company policies.
Key Responsibilities
Strategic Treasury Management
- Lead daily cash flow planning, fund allocation, and liquidity optimization.
- Drive ALM-aligned liquidity strategy and develop dashboards for management decisions.
Back Office Oversight
- Supervise settlement of investment transactions across all instruments.
- Ensure timely reconciliations of banking, custodial, and investment records.
- Lead process automation and ERP/investment system integration.
Compliance & Governance
- Ensure compliance with IRDAI, RBI, FEMA, and internal investment controls.
- Review and approve regulatory filings, disclosures, and MIS.
- Strengthen SOPs and risk-control mechanisms.
Leadership & Stakeholder Management
- Mentor treasury and back-office teams; foster performance culture.
- Collaborate with investment, audit, actuarial, accounts, and IT teams.
- Liaise with auditors, custodians, rating agencies, and banking partners.
Technology & Process Innovation
- Evaluate and implement TMS, ERP, and automation tools.
- Enable real-time reporting and analytics-driven decision-making.
Qualifications & Experience
Education: CA / MBA (Finance) / CFA (preferred).
Experience: 12-18 years in treasury operations, preferably in life insurance.
Expertise in:
- Investment operations & ALM.
- IRDAI, RBI compliance.
- Treasury systems (Oracle/SAP, TMS).
- Settlement and custodian operations.
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Posted By
Posted in
Banking & Finance
Job Code
1597919