
The client is seeking a GM for Liquidity & Risk in Delhi, open to candidates from any industry with a preference for those with experience in banking. The ideal candidate will be a CA or Tier1-MBA with 8-12 years of experience in working capital management, investments, and FX & derivatives. Responsibilities include managing liquidity solutions and risk solutions, such as leading treasury planning processes, ensuring timely liquidity for objectives, and implementing transaction banking solutions.
The GM will be responsible for working capital and banking solutions, including leading treasury planning processes, managing working capital, and optimizing collections volume. They will also be tasked with implementing transaction banking solutions across cash collections, payments, trade solutions, and digitalization. Additionally, the GM will be responsible for investment solutions, optimizing treasury investments, and managing counterparty risk.
Overall, the GM for Liquidity & Risk will play a crucial role in managing liquidity solutions and risk solutions for the client. They will be responsible for leading treasury planning processes, managing working capital, optimizing collections volume, and implementing transaction banking solutions. The ideal candidate will have a strong background in working capital management, investments, and FX & derivatives, with 8-12 years of experience in the field.