Posted By
Posted in
Banking & Finance
Job Code
1476165
Position Overview:
The Head of Treasury will be responsible for managing the organization & financial assets, cash flow, and risk exposure. This role involves developing and implementing treasury strategies to optimize liquidity and ensure financial stability in a dynamic manufacturing environment.
Key Responsibilities:
1. Cash Management:
- Monitor daily cash positions and manage cash flow forecasts.
- Optimize working capital through effective cash management strategies.
2. Funding and Debt Management:
- Identify and evaluate funding requirements and sources.
- Manage relationships with banks and financial institutions.
- Oversee debt issuance, refinancing, and compliance with covenants.
3. Risk Management:
- Develop and implement strategies to mitigate financial risks, including currency, interest rate, and commodity price risks.
- Monitor market conditions and adjust strategies as necessary.
4. Investment Management:
- Oversee the organization's investment portfolio to ensure maximum return while minimizing risk.
- Conduct regular reviews of investment performance and market trends.
5. Financial Reporting:
- Prepare and present treasury reports to senior management and the board.
- Ensure compliance with regulatory requirements and internal policies.
6. Team Leadership:
- Lead and mentor the treasury team, fostering a culture of collaboration and continuous improvement.
- Develop training programs to enhance team skills and knowledge.
7. Stakeholder Engagement:
- Collaborate with finance, operations, and other departments to align treasury activities with overall business strategy.
- Act as a key liaison with external stakeholders, including auditors, banks, and regulatory bodies.
Experience: 15 years post qualification (CA)
Function/Technical Skills: MS Office
Education: CA Qualified
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Posted By
Posted in
Banking & Finance
Job Code
1476165