Careersconnected - Corporate Risk & Cash Specialist

Buckman

Chennai, India
On-site
Cash and banking operations management
Liquidity and cash forecasting
Treasury and risk management
The Corporate Risk & Cash Specialist supports Buckman’s enterprise value growth by ensuring effective cash, liquidity, and risk management across the organization

Job Summary

  • The Corporate Risk & Cash Specialist supports Buckman’s enterprise value growth by ensuring effective cash, liquidity, and risk management across the organization.
  • This role provides cost‑efficient financial resources to the business, safeguards corporate assets, and minimizes financial risks through disciplined cash, banking, foreign exchange, and insurance administration.
  • Treasury enables strong free cash flow, financial stability, and alignment with Buckman’s strategic objectives.

Matching Summary

The Corporate Risk & Cash Specialist supports Buckman’s enterprise value growth by ensuring effective cash, liquidity, and risk management across the organization.

Skills & Requirements

Must-have

  • Cash and banking operations management
  • Liquidity and cash forecasting
  • Treasury and risk management
  • Banking services and relationship management
  • Audit, controls and compliance

Nice-to-have

  • Strong collaboration and stakeholder management skills
  • Sound judgment and risk-aware decision-making
  • High ownership and accountability

Key Requirements

  • 6–10 years relevant corporate treasury experience
  • Semi-qualified or qualified Cost Accountant / Chartered Accountant
  • Master’s degree in accounting, finance, treasury or related field
  • Exposure to multinational or global treasury environments
  • Experience with treasury systems and banking platforms

Work Rights

Not specified

Tailored Resume

Cover Letter