Posted By
Posted in
Banking & Finance
Job Code
1324219
Job Purpose :
Experience in Forex & Treasury Management with specific experience in front office activities like negotiation with Banks and Investment Partners.
1. Liquidity & Cash Management:
a. Review of cash flow and borrow / deploy surplus cash effectively.
b. Explore new opportunities in working capital and other banking solutions.
c. Negotiate with banks / financial institutions for bank lines, optimal funding cost etc.
2. Risk Management:
a. Review of Forex / Commodity exposure for each business and systematic hedging of confirmed exposure
b. Coordination for DTF approvals.
c. Tracking and compliance of RBI regulation and policies
3. Process, Controls & Compliance:
a. Adhere to internal controls and group compliances with respect to Treasury operations.
b. Ensure nil qualifications in Treasury audits.
4. Automation and Digitization:
a. Drive automation projects and be the functional expert between IT and Treasury in digitization.
5. Reporting/MIS related to Treasury operation
DESIRED CANDIDATE PROFILE:
- 10-12 years
NATURE OF EXPERIENCE: Experience in Forex & Treasury Management with specific experience in front office activities like negotiation with banks, investment partners.
SPECIFIC SKILLS/PERSONAL ATTRIBUTES:
- Knowledge of Banking & Treasury
- Financial management & Accounting knowledge related to Treasury operations
- Proactive, Initiative & system oriented- Presentation & Excel Skills
- Analytical and Problem Solving
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Posted By
Posted in
Banking & Finance
Job Code
1324219