We are a leading chemical company, with the best teams developing intelligent solutions for our customers, and for a sustainable future.
We connect and develop people with diverse talents all over the world. For you, this means a variety of ways to progress.
Not only your performance but also your personality matter to us, regardless of gender, age, ethnicity, orientation, and background. At BASF, careers develop from opportunities.
BASF Overview
BASF has successfully partnered India’s progress for more than 130 years. As of the end of 2025, BASF had 2,455 employees in India with 8 production sites and 45 offices throughout the country. The Innovation Campus Mumbai and the Coatings Technical Center in Mangalore are both part of BASF’s global technology platform. In 2025, BASF registered sales of approximately €2.2 billion to customers in India. Further information is available on www.basf.com/in
About The Role
Lead Regional Treasury team managing cash and hedging activities of companies under Regional Treasury platform coverage. Lead implementation of global and regional cash management projects in the region. Lead regional cash management governance function. Provide advice on payment and collection solutions to BUs, FUs and JV treasurers. Contribute to global cash management community by providing regional expertise. Lead and develop Regional Treasury team, including knowledge and quality management, rotation and succession management
What's In It For You
Be part of building BASF's new Global Hub in India, a flagship transformation initiative
Work with a globally integrated team spanning Finance and HR functions
Competitive compensation, benefits, and structured career pathways
Access to BASF's world-class learning & development programs
Inclusive, diverse, and collaborative work culture
Hybrid work model (mix of on-site and remote)
Key Responsibilities
Lead Regional team managing cash and hedging activities of companies under Regional Treasury platform coverage
Lead the team to ensure smooth cash management and FX trading activities to arrange sufficient liquidity, to optimize yield enhancement and to cover FX risks by engagement of derivatives instruments
Overall responsibility of operations in cash pooling, netting and liquidity planning for serviced companies
Ensure operations in line with global and regional guidelines, rules and procedures, and in compliance with country regulation, ensure zero finding in auditing
Initiate, implement and continuously monitor measures to ensure quality, reliability and operational efficiency of operation toward best practice operation
Supervise and lead the team to monitor market and currency market development and contribute to cash management and hedging strategies development jointly with Treasury function at Headquarter
Ensure sufficient exchange of with local country finance, collaborate with global and regional relevant units (e.g. Regional Treasury Middle Office, Back Office, process experts, shared service center) in cash management projects
Overall responsibility of cash management KPI targets for the region especially in monitoring and controlling cash management fees
Lead and continuous improvement of roles and responsibilities, local finance and shared services center in cash management
Manage bank relationship for cash management topics including arranging regular cash management service review meetings with banks
Overall responsibility for knowledge build-up, process documentation and improvement, quality management, personnel and resource planning and team development
Lead implementation of global and regional cash management projects in the region
Lead cash management RfP in the region including selection regional or country cash management banks, provide regional expertise in global cash management RfP project
Overall responsibility in implementation of global/regional/country cash management projects for the region in close collaboration with other units of Regional Treasury, local finance, regional process units and shared services center
Initiate, evaluate and implement regional cash management projects
Provide advice, trainings and guidance (for BASF majority owned JVs) for cash management for BASF companies which are not covered by service coverage
Lead regional cash management governance function
Implement and continuous monitor of the compliance of global cash management guidelines especially bank account guideline and derivatives guideline and policies in the region
Monitor and ensure the compliance of BASF Group companies and majority owned JVs with BASF cash management guidelines and policies
Provide advice on payment and collection solutions to BUs, FUs and JV treasurers
Monitor closely the development of cash management products and services as well as IT solutions to drive cash management innovation in the region
Organize exchange sessions with BUs, FUs and JV treasurers to advise payment and collection solutions to drive business growth or contribute to improvement in operational efficiency or risk control
Provide advice and trainings for shared service center, local finance, JV treasurers for cash management related topics
Exchange with industry peers for best practices sharing and drive cash management excellence
Contribute to global cash management community by providing regional expertise
Participate in monthly global cash management call and contribute regional expertise in global projects
Participant as regional presentative in global cash management projects and workshops
Monitor cash management topics and innovation in the region and make project proposals to the global cash management community
Lead and develop Regional Treasury team, including knowledge and quality management, rotation and succession management
Manage team performance review, team and individual development, provide/arrange trainings, coaching, team meetings and team building activities
Manage team knowledge build up and development, foster an open culture and an environment of continuous learning and improvement
Arrange team task scope and resource planning, including proper task rotation plan among team members and sufficient succession plan
Minimum Qualifications
Education: at least bachelor’s degree in finance, banking or economics, MBA or master’s degree highly welcome
Working Experience: 12 - 18 years progressive experience in cash management or/and FX risk management, preferably in banking, chemical or related industries, at least 3 years leadership experience required.
Lead a team of 10+ employees.
Technical Skills
Profound understanding and operation experiences in cash management and FX risk management products such as cash pooling, netting, bank deposits, loans, money market instruments, FX spot, forwards, options, swaps, very good knowledge in local treasury-related regulatory framework.
Work with high self-motivation, high reliability and responsibility, dedicated for outstanding performance and passionate to drive team performance and innovation
Excellent interpersonal skills, very strong leadership skills, collaboration and communication skill, high integrity
Proficient PC skills in Excel, Word, PowerPoint, SAP and Bloomberg
About BASF
At BASF, we believe that great chemistry starts with great people. We foster a workplace where curiosity is encouraged, diverse perspectives are valued, and every employee is empowered to make a meaningful impact. Our culture is built on trust, collaboration, and a shared commitment to continuous growth - both for the business and for the individuals within it.At BASF, your development never stands still. Employees have access to structured learning pathways, international exposure, and cross-functional mobility across a truly global organization. We are committed to inclusion and equal opportunity, and we actively invest in the wellbeing, development, and long-term career growth of our people. Whether you are early in your career or bringing deep expertise, BASF offers the scale of a world-leading company with the sense of purpose and community that makes it a place where people genuinely thrive.
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