Posted:
10/21/2025, 12:33:07 AM
Location(s):
Mumbai, Maharashtra, India ⋅ Maharashtra, India
Experience Level(s):
Expert or higher ⋅ Senior
Field(s):
Finance & Banking
Knowledge, Skills and Abilities
• Strong academic foundation with an MBA in Finance; advanced certifications such as CTP, CFA or FRM are preferred
• 8–12 years of progressive experience in treasury, corporate finance, or capital markets, with hands-on expertise in Trade Finance, Cash Management, and Intercompany Lending (In-house Banking)
• Minimum 4–6 years of proven experience managing and developing high-performing teams in a complex, fastpaced finance environment
• Prior experience with Treasury Management Systems (e.g., Kyriba, Quantum, SAP Treasury, or equivalent) and a strong understanding of system workflows, controls, and automation opportunities
• Demonstrated ability to work with precision and high attention to detail, especially in managing financial risk, compliance, and reporting
• Strong analytical and quantitative skills with the ability to interpret complex financial data and generate actionable insights
• Excellent organizational and time-management abilities, with a track record of successfully leading multi stakeholder initiatives and delivering against tight deadlines
• Exposure to the commodities sector, structured financing, or securitisation vehicles is an added advantage
Key Attributes
• Proven ability to communicate complex concepts clearly and confidently across all levels, including senior executives, peers, and cross-functional teams • Strong financial acumen with the ability to interpret and drive insights from complex data sets to support funding strategies and capital allocation decisions • Demonstrates focus on achieving business outcomes while managing multiple priorities, workstreams, and deadlines in parallel
• Anticipates challenges and identifies actionable solutions; takes initiative to improve processes and add value in a dynamic treasury environment
• Skilled in structuring workflows, setting priorities, and driving team accountability to deliver high-quality outcomes on time
• Brings a confident and composed presence, especially when working under pressure or navigating uncertainty
• Rapidly grasps complex financing concepts, systems, and business models; adaptable to evolving business needs and regulatory changes
• Performs effectively in fast-paced, time-sensitive settings while maintaining high attention to detail and judgment
• Experienced in managing teams, providing mentorship, and building collaborative relationships across departments to drive shared outcomes
Key Responsibilities:
Secured & Unsecured Financing Facilities:
• Manage end-to-end lifecycle of secured and unsecured loans, ensuring full compliance with financing agreements and internal policies.
• Serve as the primary liaison with banks, facility agents, and internal stakeholders for loan drawdowns, repayments, and deposit bookings.
• Ensure accurate allocation of funding costs and income to transactions and cost centers.
• Track and analyze financing metrics including interest margins, facility utilization, and cost of capital.
• Reconcile cash flows with third-party and internal records, maintaining robust documentation trails.
• Produce executive dashboards and detailed reports on facility utilization, maturity profiles, and performance benchmarks.
• Perform mark-to-market (M2M) valuations on relevant loan structures.
• Benchmark financing facility terms and costs against internal targets and market conditions.
Liquidity Reporting & ALM:
• Prepare daily, weekly, and monthly liquidity reports, including stress testing and early warning indicators.
• Ensure accuracy and timeliness of liquidity and funding-related data.
• Collaborate with finance teams for treasury P&L reporting and variance analysis.
• Optimize short-term liquidity usage and ensure efficient deployment of receipts to repay loans.
Cash & Treasury Asset Management:
• Oversee daily global cash positioning and in-house banking operations.
• Optimize allocation across internal loans, securitized assets, and treasury investments to enhance yield while maintaining liquidity.
• Develop investment strategies for surplus cash and manage money market instruments within risk guidelines.
• Ensure regulatory and operational compliance for securitized assets and internal loans.
• Maintain strong governance and reporting around internal lending, intercompany funding, and asset utilization.
Team Management:
• Lead and mentor a team of treasury analysts and specialists, promoting a high-performance culture.
• Conduct regular performance reviews, provide coaching, and identify training needs.
• Foster a collaborative environment with cross-functional stakeholders in finance, operations, and legal teams.
Project & Change Management:
• Lead treasury-related change initiatives, including system upgrades, reporting automation, and process enhancements.
• Support the design and implementation of controls, workflows, and documentation for new facilities or reporting standards.
• Drive continuous improvement in data accuracy, process efficiency, and reporting capability.
Internal
• Accounting Department
• Corporate Finance
• Credit Department
• IT Development Team
• Treasury Technology and Payments
• Trade Finance
• Deals Desk
• Operations Departments
• Senior Finance Management
Majority of key relationships will be with colleagues based in the Mumbai, Geneva, Montevideo, Houston, Shanghai and Singapore offices.
External
• Facility Agents and Programme Banks
• Treasury technology vendors and consultants
• Financing Banks and Institutions
• Legal Advisers
Website: https://trafigura.com/
Headquarter Location: Singapore, Central Region, Singapore
Employee Count: 10001+
Year Founded: 1993
IPO Status: Private
Last Funding Type: Post-IPO Debt
Industries: Industrial ⋅ Mineral ⋅ Oil and Gas ⋅ Shipping ⋅ Supply Chain Management