Responsibilities :
- Cash flow planning and Liquidity management.
- Forecast cash flow positions, related funding needs and funds available for investment. Accounts finalisation
- Manage day to day banking operations to meet the financial obligations of the Organisation.
- Maintaining Banking relationship and liaising with them.
- Timely preparation of banking and treasury related reports such as cash flow statement, finance cost on monthly and quarterly basis. and other management reports.
- Responsible to handle various audit conducted by Statutory Auditors, Internal Auditors and other regulatory audits for the department.
- Preparation and submission of proposals to lenders.
- Timely submission of stock statement, monthly report etc. to lenders
- Maintaining Tracker for lenders payment and ensure due payments are serviced within due date.
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