Posted By
Posted in
Banking & Finance
Job Code
1414408
Established in 2017, Company is a dynamic and a regulated organization under SEBI, RBI, and IFSCA. Initially focused on a single line of business, the firm has diversified into four distinct ventures within the Asset Servicing Business.
Our company specializes in meticulously crafted financial solutions catering to offshore investment managers, Institutional Investors, accredited investors, and offers consultancy services to both offshore and onshore asset managers. Presently, the firm manages assets under servicing worth USD 3.7 billion. Our clearing business has executed on an avg 13.2 lac trades per day, with 4.73 lac crores notional value trades.
Dovetail has a team of overall 90 employees, our Head Office is located in Mumbai (offices location Prabhadevi and Worli), and additional offices in GIFT city.
Our robust presence in GIFT city sets us apart, as one of the pioneering companies with a dedicated team, holding an ancillary service license. This license enables us to offer comprehensive fund administration services encompassing investor onboarding, Fund Accounting, Structuring, Compliance, and advisory on set-ups. We take pride in being the largest GIFT City Administrator, managing substantial assets through GIFT City, and being among the initial recipients of Ancillary Services. Additionally, Dovetail is in the process of setting up an office in Dubai, further expanding our global footprint.
The key responsibilities are:
- Develop and execute the financial strategy aligned with the company's goals and objectives.
- Drive the financial planning process, including budgeting, forecasting, and cash flow management.
- Identify financial risks and opportunities and develop strategies to mitigate risks and maximize opportunities.
- Prepare accurate and timely financial reports, including monthly, quarterly, and annual financial statements.
- Ensure compliance with regulatory requirements and financial reporting standards related to treasury operations.
- Treasury reporting and MIS for ALM on regular basis. Effective development and deployment of treasury governance framework and guidelines, ensuring compliance with company policy, procedures, and guidelines.
- Find ways to increase the income of net worth without incremental risk.
- Oversee the treasury function & the financial risk in a timely manner.
- Conduct financial analysis to identify trends, variances, and areas for improvement.
- Develop and execute funding strategies to support the company's growth plans.
- Implement effective internal controls to safeguard company assets and ensure compliance with financial regulations.
- Oversee the financial audit process.
- Build and lead a high-performing finance team.
- Provide mentorship and guidance to team members to enhance their skills and professional growth.
Qualifications:
- CA qualified.
- Proven experience in Treasury management.
- Strong knowledge of financial management principles, accounting standards, and financial analysis techniques.
- Demonstrated experience in developing and executing financial strategies and driving business growth.
- Solid understanding of financial risk management and compliance requirements.
- Exceptional analytical and problem-solving skills.
- Excellent communication and presentation skills.
- Strong leadership abilities with the capacity to inspire and motivate a team.
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Posted By
Posted in
Banking & Finance
Job Code
1414408