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Apexon | Odhav, India | Posted May 27, 2026
Position Overview
Responsibilities / Duties:
- Support group-wide liquidity planning, cash flow forecasting, and daily cash positioning.
- Manage day-to-day interactions with banks and financial institutions.
- Support onboarding of new banks, accounts, facilities, mandates, and signatories.
- Coordinate with banks on operational issues related to payments, collections, guarantees, and facilities.
- Oversee daily treasury operations including payments, fund transfers, and monitoring of bank balances.
- Support automation and process efficiency initiatives in treasury operations.
- Track and ensure compliance with financial and non-financial debt covenants across group entities.
- Coordinate with finance, audit, and legal teams for covenant-related confirmations and disclosures.
- Manage treasury-related accounting entries including interest, fees, FX impacts, and hedge accounting
- Coordinate with internal a...