Carousell is seeking a skilled Group Treasury Manager to join our corporate controllership team. In this role, you will work closely with finance teams across the organization, leveraging your expertise in group treasury management within the APAC region. Reporting to the Group Head of Tax and Treasury in Bangalore, you will play a key role in shaping and executing our treasury strategy. The ideal candidate will bring extensive experience in managing treasury functions and a proven track record in the APAC market.
Responsibilities:
Develop a comprehensive rolling cash flow forecasting system in collaboration with cross functional teams
Partner with Strategic Finance team to foster strong relationships with external banking partners
Provide operational support for all activities within the group treasury function - manage group bank accounts, liaise with bankers and ensure regulatory compliance
Device and implement corporate treasury policies for the group, SOPs and ensure adherence.
Automation of treasury processes
Manage inter-co loans/ funding in collaboration with tax team
Support M&A activities and post-integration of the treasury function
Facilitate and support group internal and external audits for treasury activities
Assist on other projects