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Treasurer - Finance

Actively Reviewing the Applications

Qinecsa Solutions

India, Karnataka, Bengaluru Full-Time On-site
Posted 3 weeks ago Apply by May 30, 2026

Job Description

Job Title: Treasurer


Role Overview

We are seeking a highly motivated, detail-oriented and experienced treasury professional to support the treasury operations team of Qinecsa. This role will play a key part in managing the Group’s liquidity, facilitating timely and cash/budget modelling accurate cash forecasting, and supporting the optimisation of banking operations across multiple international entities.


Key Responsibilities

  • Collaborate with the Accounts Payable, Accounts Receivable and Payroll teams alongside wider finance to prepare detailed weekly cashflow forecasts at the entity level for all Qinecsa entities.
  • Produce weekly reporting on overdue debtors and creditors for review in weekly cash call by senior management.
  • Monitor group’s cash balances and facilitate funding transfers to ensure appropriate liquidity is maintained across all international bank accounts.
  • Assist in the administration of banking platforms, including the setup of new users and periodic reviews of user access and permissions.
  • Support updates to bank mandates and contribute to ongoing efforts to rationalise and simplify the group’s banking structure.
  • Provide additional support to the wider group finance team, assisting with tasks across transactional finance and management accounts as needed.


Key Competencies & Skills

  • Strong analytical thinking with the ability to interpret financial data and trends.
  • Excellent Excel and data management skills; ability to work with large datasets and financial models.
  • Demonstrated ability to communicate effectively with internal and external stakeholders at all levels.
  • Strong organisational skills and the ability to manage multiple tasks and priorities in a dynamic environment.
  • A proactive approach to problem-solving with a focus on continuous improvement.


Qualifications & Experience

Essential:

  • Qualified Chartered Accountant with 8 – 10 years’ experience
  • Prior experience in a treasury, finance, or accounting function with prior involvement in cashflow forecasting, cash/budget modelling and liquidity management.
  • Familiarity with using banking platforms eg. HSBCnet, JP Morgan Chase.
  • Experience working in a multi-entity or international finance environment.

Desirable:

  • Experience supporting process improvement or banking structure simplification initiatives.
  • Knowledge of ERP NetSuite and it’s integration with banking systems.
  • Exposure to business transformation projects.

What We Offer

  • Flexible work environment
  • Opportunities for career development within a business turnaround environment.
  • A dynamic and supportive working environment.

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