Treasury management and financial operations expertise
Cash flow management strategies
Irda regulations, indian gaap, and ifrs compliance
Prudential Health India is a Zero to One team undertaking a no-legacy, greenfield health insurance deployment in India, building journeys that truly empathize with the customer and offer a differentiated experience
Job Summary
Prudential Health India is a Zero to One team undertaking a no-legacy, greenfield health insurance deployment in India, building journeys that truly empathize with the customer and offer a differentiated experience.
The Senior Manager - Financial Operations & Treasury role in a greenfield health insurance company in India requires a finance expert to establish and manage treasury functions, cash flow strategies, and financial operations from the ground up.
We provide equality of opportunity of benefits for all who apply and who perform work for our organisation irrespective of sex, race, age, ethnic origin, educational, social and cultural background, marital status, pregnancy and maternity, religion or belief, disability or part-time / fixed-term work, or any other status protected by applicable law.
Matching Summary
Prudential Health India is a Zero to One team undertaking a no-legacy, greenfield health insurance deployment in India, building journeys that truly empathize with the customer and offer a differentiated experience.
Skills & Requirements
Must-have
Treasury management and financial operations expertise
Cash flow management strategies
IRDA regulations, Indian GAAP, and IFRS compliance
Banking relationships and financing agreements
Budgeting, forecasting, and financial planning
Accounts payable, receivable, and reconciliation
Nice-to-have
Dynamic and risk manager
Zero to One team experience
Empathize with the customer
Differentiated experience
Automation opportunities
Key Requirements
CA/ICWA/MBA (Finance) qualification
8-12 years of experience in finance
Experience in start-ups or health insurance
Strong analytical, risk management, and financial modeling skills
Ability to manage fundraising, investor relations, and regulatory transitions
Experience in cash flow forecasting, liquidity management, and automation tools