Job responsibilities:
- Shall have overall responsibility for cash management and optimisation of borrowing limits.
- Shall be in charge of day to day treasury operations of the group.
- Shall also be looking after the cluster group companies.
- Handle short term investment and be accountable for cash flows.
- Prepare and present review reports and performance analysis to top management and suggest policy changes.
- Ensure compliances related to treasury & preparation & submission of MIS (Cash Flow).
- Implement treasury policies and operational procedures across various locations.
- Ensure proper accounting for all treasury related transactions, coordinate integrated cash forecasting process, and manage foreign currency hedging program.
- Handle group treasury activities including cash management, credit control, budgeting and forecasting, manage short term borrowing activity and foreign currency hedging program.
- Negotiate with banks and financial institutions for raising fund and non-fund based facilities to meet working capital and project requirements.
Requirements:
- 9+ years of relevant post qualification experience
- Chartered Accountant
- Ability to articulate concepts to Senior Leadership
- Excellent communication skills (written & verbal)
- Strong analytical skills, good business understanding
- Hands on working experience on pricing hedging instruments.
- Expert in MS office
Job Location: Mumbai
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