Posted By
Posted in
Banking & Finance
Job Code
1103190
Hiring for a role in Treasury with a logistic company based out of Mumbai.
1. Experience in Funds management
2. Experience in Dealing with banks and management of banking operations
3. Experience of liaison with auditors
4. Good knowledge of money markets, yield calcs etc. 5. Good knowledge of accounting systems
Core Responsibilities
1. Responsible for fund management for multiple projects spread across appx 100 SPV's
2. Idle cash management - deployment of short term cash flows and optimising yields on the same.
3. Management of investment portfolio
4. Ensure smooth FDI inflows and co ordination with internal stakeholders
5. Optimising the number of bank accounts to run operations smoothly ensuring a balance with administrative effort involved in management of bank accounts.
6. Bank signatory management - addition/deletion of signatories
7. Implementation of 100% online operations for all bank accounts at all times.
8. Bank guarantee management - opening/closure/renewals
9. Review of monthly Bank Reconciliations
10. Accounting and review of loans, inter co transfers and monthly reco of the same
11. Governance around charges levied by banks/FI's like interest, fees etc.
12. Maintaining relationships with multiple bankers to ensure smooth conduct of operations (more than 10 banks)
13. Liaisoning with auditors
14. Lead digital initiatives for improving treasury mgmt. operations
15. Compliance with cash management and other applicable SOP's
16. Lead process improvements around treasury function
17. Monthly treasury MIS including implementation of treasury software
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Posted By
Posted in
Banking & Finance
Job Code
1103190