Back to jobs
Fossil Group, Inc.

Manager - GL - Global Treasury

Bengaluru, IN-KA, INPosted 3 months ago
onsite

Job Description

Make an Impact We are seeking a talented and driven Manager – Treasury & Cash Management to join our Finance GCC team in Bangalore, India. This is a hybrid position based in our Bangalore office. You will be required to work onsite from Monday through Thursday, with the flexibility to work remotely on Fridays. This role reports directly to the Senior Manager RTR. In this role, you will play a critical part in strengthening Fossil Group’s global treasury operations—driving liquidity visibility, optimizing cash flow, and enabling smart financial decisions across regions. You’ll partner with global stakeholders to build efficient, scalable, and future-ready treasury processes. What you will do in this role Treasury Operations & Liquidity Management Lead global cash positioning, forecasting, and liquidity planning across regions Optimize working capital and ensure efficient cash utilization Manage intercompany funding, settlements, and cash pooling structures Financial Risk & Banking Management Monitor foreign exchange exposures and support hedging strategies Own and manage global banking relationships, including KYC and account administration Drive banking optimization initiatives, including fee management and platform improvements Governance, Reporting & Compliance Ensure accurate and timely reconciliations, reporting, and month-end close support Strengthen internal controls and ensure compliance with global treasury policies Deliver insightful cash flow analysis and support financial planning activities Process Excellence & Transformation Drive automation and continuous improvement initiatives across treasury processes Partner with technology teams to enhance treasury systems and reporting capabilities Build scalable processes to support a growing global business environment Who You Are Bachelor’s degree in Finance, Accounting, or related field; CA/CPA or equivalent preferred 10-15 years of experience in corporate treasury, ideally within a global organization Strong expertise in liquidity management, FX, banking operations, and financial modelling Proven ability to lead teams and manage cross-functional stakeholder relationships Strong analytical mindset with attention to detail and problem-solving capability Experience working in multinational environments with global exposure Proactive, ownership-driven, and focused on delivering measurable outcomes Comfortable navigating ambiguity and driving change in a dynamic environment What We Offer Comprehensive benefits supporting your overall well-being Retirement planning programs and financial education resources Paid parental leave and return-to-work support Generous paid time off including holidays and personal days Opportunities for learning, growth, and career development Employee discounts across Fossil Group products A collaborative, inclusive, and globally connected workplace
Manager - GL - Global Treasury at Fossil Group, Inc. | Renata