The DGM – Treasury (Head of Treasury) oversees Windy Group’s treasury operations, managing cash flow, banking relations, funding strategies, and financial risks to ensure optimal liquidity and support business growth.
Roles and Responsibilities:
- Oversee cash flow, liquidity, and fund management.
- Develop and implement treasury policies and procedures.
- Lead and oversee full spectrum of treasury function of the Group, ensuring efficient cash management and maintain periodical cash flows statement.
- Develop and implement treasury policies, procedures and controls aligned with the Group’s risk appetite and business strategy.
- Manage banking relationships and financing arrangements.
- Manage relationships with banks, financial institutions, negotiate charges rates, fees and credit facilities.
- Monitor financial risks and optimize capital structure.
- Monitor daily cash position (DCP) of Head Office and Factories, bank balances, inter-company transfers, foreign currency exposure and bank covenants. Forecast short-term and long-term fund requirements.
- Lead the treasury team and coordinate with other departments.
- Supervise and monitor the treasury team; ensure accurate and timely treasury reporting (Daily cash position-DCP, bank exposures, investment returns etc.).
- Ensure stringent controls over payments, disbursements, bank reconciliations, approvals and segregation of duties.
- Develop and implement treasury-related KPIs, dashboards and analytics for senior management review.
- Stay abreast of market trends (interest rates, inflation, forex) and advise management on implications for the business.
Academic Qualifications:
- Master of Commerce (Mcom)
- Concentration/Major: BBA/MBA in Accounting or Finance or related field.
Others Requirements:
- Age: 38 - 50 years
- Gender: Male
- Training/Course:
MS Office
- Area of Expertise:
Cash Management
- Additional Requirements:
- Strong experience in cash & liquidity management, bank relationships, foreign exchange risk, and working capital optimization.
- Excellent analytical, negotiation and communication skills.
- Proven track record of leading/managing a treasury team, setting up processes and systems.
- Ability to operate in a fast-paced, high-volume export environment, with multiple manufacturing units and global buyers.
- Understanding of Bangladesh banking system, exchange control regulations, export/import financing, and compliance requirements.
- High integrity, results-orientated with strong leadership, decision-making and problem-solving skills.
Experience and Skills:
- 10 - 15
years
- Cash Management
- Area of Business:
Garments, Group of Companies, Manufacturing (FMCG), Washing Factory
Workplace:
Work at Office
Salary/Compensation:
Negotiable
Other Benefits:
- Festival Bonus: 2
- Salary Review: Yearly
- Attractive Salary Package with Benefits, Mobile bill, Others Benefits as per company Policy, Partially Lunch, Pick & Drop Facility (Depends on availability)
Last Date of Application:
31 Dec, 2025
Additional Instructions:
- Job Location: Uttara, Dhaka
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