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Job Description
The Treasury Manager, FX will be based in Chennai, India. In this position, you will report to the Director, Treasury. The Treasury Manager, FX is responsible for managing the companys foreign exchange exposure, liquidity, and treasury risk framework across global operations. This role leads FX strategy, execution, and governance while partnering closely with Finance, Accounting, Legal, and external banking partners. The position also supports broader treasury activities, including guarantees, capital structure initiatives, and shareholder-related transactions. Watch Culture is our Passion to learn more about us.
We Are Looking For Someone Who Demonstrates
- Passionate drive to innovate and create
- Integrity to the core
- Enthusiastic customer focus
- Consistent interactive teamwork
- Desire for continuous improvement and top performance.
Foreign Exchange & Risk Management
- Develop and execute the companys global FX risk management strategy, including identification, measurement, and mitigation of transactional, translational, and economic FX exposures.
- Design and maintain FX hedging programs using appropriate instruments (forwards, options, swaps), in line with treasury policy and accounting requirements.
- Monitor global currency markets and macroeconomic developments; provide actionable insights and recommendations to senior leadership.
- Oversee FX trade execution, confirmations, settlements, and counterparty risk management.
- Ensure compliance with internal treasury policies, hedge accounting standards, and regulatory requirements.
- Manage global cash positioning, liquidity forecasting, and intercompany funding structures.
- Optimize banking structures, cash pooling, and liquidity usage across regions.
- Support working capital optimization initiatives in coordination with Finance and Operations.
- Maintain and enhance treasury policies, procedures, and internal controls.
- Partner with Accounting on hedge documentation, effectiveness testing, and financial reporting.
- Lead or support treasury-related system enhancements (TMS, banking platforms, FX portals).
- Act as a primary relationship manager for global banking partners on FX and treasury matters.
- Support bank fee analysis, RFPs, and negotiation of treasury-related services.
Additional / Bonus Responsibilities
- Manage the issuance, amendment, renewal, and cancellation of bank guarantees in accordance with contractual and commercial terms.
- Coordinate with Legal, Commercial, and banks to ensure guarantees are accurate, timely, and compliant with underlying agreements.
- Support the administration and execution of share repurchase programs, including coordination with banks, legal advisors, and internal stakeholders.
- Monitor compliance with board authorizations, regulatory requirements, and internal governance processes.
- Bachelors degree in finance, Accounting, Economics, or a related field.
- Minimum 10+ years of progressive treasury experience, with a strong focus on FX risk management.
- Deep knowledge of FX markets, derivatives, and hedging strategies.
- Experience working with global banking partners and multinational cash structures.
- Strong understanding of hedge accounting principles and treasury controls.
- Flexible to work in US time zone.
- Experience with bank guarantee issuance and lifecycle management.
- Experience supporting or administering share repurchase or other capital markets transactions.
- Treasury or finance certifications (CTP, CFA, ACA, or equivalent).
- Experience with Treasury Management Systems (e.g., Kyriba, SAP Treasury, Quantum).
- Strategic and analytical thinker with strong risk management judgment.
- Excellent stakeholder management and communication skills.
- High attention to detail with the ability to manage complex, high-value transactions.
- Comfortable operating in a fast-paced, global environment.
- Strong governance mindset with a hands-on execution approach
We are Nextpower
Skills
Cash ManagementFundingForwardsHedgingProject DeliveryReportingSwapsCfaIf a job posting appears fraudulent, asks for payment, contains misleading information, or violates our guidelines, please report it immediately. Our team will review it promptly, Jobaaj does not charge any fee from the applicants.
About Company
Nextracker is a global leader in smart solar tracker solutions and software services for utility-scale and distributed generation projects. Renowned for enhancing the efficiency and performance of solar photovoltaic (PV) systems, Nextracker's innovative technology optimizes energy output by dynamically adjusting solar panels to follow the sun's trajectory across the sky. This maximizes energy production by ensuring panels receive optimal sunlight exposure throughout the day. Beyond its flagship solar trackers, Nextracker offers comprehensive digital software solutions to monitor and manage solar installations, further increasing efficiency and reducing operational costs. With a strong commitment to sustainability and renewable energy, Nextracker is at the forefront of the solar industry, empowering clients worldwide to harness the power of the sun more effectively and contribute to a cleaner, greener future.
Important dates & deadlines?
Application Deadline
13 Apr 26, 01:54 PM IST
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