AGM/DGM Treasury
Hiring a Large Indian Conglomerate for Mumbai Region.
Brief of Role :
- Arrange for short term / long term lines of borrowings for Raymond and Group companies at lowest possible cost
- Ensure that all treasury functions are carried out within the defined guidelines and policies
- Responsible for Company's Bank relationships, i.e., negotiations on pricing, bank services purchased, review of new banking cash management products and bank agreements. Manage the overall budget for bank fees
- Monitor global cash balances and manage effective repatriation of excess cash
- Adhere to Indian accounting standards for Financial Instruments: Disclosure, Recognition and Measurement definitions in accounting reports .
- Management of consolidated cash resources by governing Daily decisions on cash requirements through cash accounting, electronic funds movements and letters of credit
- Enhance domestic and international cash flow forecasting process.
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