Shivangi Dawar
Tazapay: Revolutionizing Global Payments || Axis Bank Limited || TerraPay - Global Payment Solutions & Cross-Border Transfers.Specialised : Forex, Liquidity and Treasury management, Revenue generation, Process automate.
- Role
- Treasury Manager at Tazapay
- Location
- Gurugram, DL, IN
- LinkedIn followers
- 500 followers
About Shivangi Dawar
I am a passionate and creative Treasury Manager experienced in international cash management and emerging market FX markets excited to build the next generation of FX systems.Over the years, I have developed strong expertise in Forex and treasury management, cash flow and liquidity management, revenue generation, KYC documentation, business operations support, transaction processing, client onboarding, and customer relationship management. As an early leader of the Business Operations team, I drove end-to-end treasury movement throughout the client lifecycle, managed customer support operations, and delivered a best-in-class automated onboarding experience for clients across the globe. Also, I have been a vital contributor to business strategy planning, forecasting of liquidity projection management for several regions, effectively managing transaction processing, customer queries & tickets using the ticketing system, email, and messaging system. I have also worked closely with the senior leaders in new product development, partners management, and system automation. To know more about me or how I can contribute to your business, please feel free to drop me a line at s••••••••@gmail.com
Experience
Treasury Manager
Jan 2026 — Present · Delhi, IN
Join a growing community of forward-thinking businesses that have chosen Tazapay for their global payout needs. From tech startups to multinational corporations, our platform is built to support diverse financial operations at scale.As the Treasury Manager - Strategy & Planning, you will play a crucial role in the team to maintain our financial health, ensure efficient liquidity and capital utilisation, and drive our growth. Your responsibilities will include:Liquidity and capital managementSupport liquidity and capital management activities and decisions across multiple entities, currencies, and business lines.Support strategic initiatives in line with the company growth models.Partner with FP & A and Risk to build resilient capital structures that support regulatory and operational needs.Cash Monitoring & ForecastingManage daily global cash positioning and weekly forecasting.Develop and maintain cash flow models that support product expansion and business planning.FX & Interest Rate Risk ManagementMonitor, assess, and manage FX and interest rate exposures across a multi-currency ecosystemOversee hedging strategies and policies in line with fintech-specific risk profiles.Business Support, Flow of Funds Structuring and New Product ReviewProvide treasury input into risk assessments for new launches—covering liquidity, funding, currency risk, and treasury ops implicationsAct as the treasury voice in cross-functional product development squads.
Education
Presidency College, Bangalore
Bachelor of computer application - BCA, Computer Science
Narsee Monjee Institute of Management Studies (NMIMS) Navi Mumbai
Master of Business Administration - MBA, Finance
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