- Front end treasury profile. Generating Fund for company.
- Taking end-to-end ownership of the process in coordination with Planning & Controlling team of HO.
- Tracking various economic and regulatory changes to present a detailed analysis.
- Competitor's analysis of Borrowings and Cost of Funds.
- Continuous research on economy, debt markets, Insurance companies and Corporates to enable the Treasury make a more informed decision on funding
- Monitor the fund requirement of the company to plan the borrowing well in advance
- Liaison with investors to raise funds through NCDs, Commercial Papers and other mediums.
- Evaluating different products in the market and the changing regulations, in particular External Commercial Borrowings
- Broadening the investor base by reaching out to new investors of various types
- Ensuring completeness of all deals executed including EBP process, allotment, etc.
- Hands on experience in Treasury and Asset Liability Management Systems.
- Handling various queries of Banks, Rating Agencies, auditors and other investors
- Continuously updating the Borrowing deck, Investor Presentation, Information Memorandum and other standardized documents
- Ensuring tight controls and periodical reconciling of all treasury related GLs -
Borrowings - including their sub-classification
Interest Cost - Accounting and Cash Flow
Fund raising costs
Investments and Investment Income
- Perform all activities in the absence of the Cash Flow manager including sharing daily MIS on borrowings and Sanction Utilization
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