Treasury Senior Consultant

Tags: ,

Role Title: Treasury Senior Consultant

Employer: Leading Global Consultancy

Required Experience: 6–8 Years

Location: Mumbai

Date published: 13 June 2026

A Leading Global Consultancy is seeking an experienced Treasury Senior Consultant to join its risk advisory practice in Mumbai. In this strategic client-facing role, you will lead high-impact consulting engagements focusing on treasury risk diagnostics and cash flow transformations. Furthermore, you will evaluate and design robust frameworks covering foreign exchange risks and long-term funding strategies. Consequently, this position is crucial for helping tier-1 companies optimize working capital efficiency and reduce operational processing risks.

The Treasury Senior Consultant must combine deep quantitative knowledge of interest rate risk parameters with hands-on system architecture background. Additionally, you will configure specialized risk reporting dashboards and translate complex requirements into detailed functional specifications for software developers. Therefore, the company is looking for a finance expert who excels at mentoring junior teams and authoring thought leadership. If you want to deploy advanced corporate treasury models, this role is an excellent step.

Key Responsibilities

  • Lead corporate client engagements focused on treasury risk assessments, system diagnostics, and transformation paths.
  • Evaluate, design, and implement robust operational frameworks for foreign exchange (FX) risk management.
  • Formulate targeted funding strategies to optimize corporate interest rate risk profiles and capital structures.
  • Assess end-to-end treasury workflows across cash pooling, intercompany financing, and liquidity structures.
  • Review corporate treasury policies, tracking limits, operating styles, and global corporate governance frameworks.
  • Audit front-, middle-, and back-office functional processes to eliminate operational defects and fraud risks.
  • Translate abstract business requirements into explicit data mapping rules and system configuration specifications.
  • Design interactive risk reporting dashboards to track real-time VaR, covenant compliance, and counterparty exposures.
  • Serve as a primary client contact, managing daily multi-stakeholder expectations and delivery milestones.
  • Support business development tracks, including authoring client proposals and producing innovative RFP responses.

Requirements and Qualifications

  • MBA from a premier tier 1 or 2 business school, or a Qualified Chartered Accountant (passed in early attempts).
  • 6-8 Years of relevant experience in treasury advisory consulting, corporate treasury, or institutional banking risk.
  • Deep functional knowledge of banking operations, cash pooling models, in-house banking, and commodity risk.
  • Hands-on practical experience implementing Treasury Management Systems (e.g., Kyriba, FIS Quantum, or SAP Treasury).
  • Strong analytical problem-solving skills combined with professional presentation and team mentoring traits.
Apply Now
Note: Submitting your resume does not mean it will be directly shared with the employer. Your consent will be sought before any information is shared.