Discipline - Accounting
Subsector - Tax & Treasury
Location - Mumbai
About our Client - Our client is an global healthcare company employing over 50,000 people with its products in 136 countries. The company has a world-class research and development team which focuses on product and clinical development tailored to the needs of the Indian market. It takes pride in treating their people as their core strength.
Job Description - Reporting into the Treasury Head, you will be responsible for :
- Setting up and carrying out cash and banking operations for the group
- Planning cash flow and investment of surplus cash into various financial instruments
- Co-ordinate with bank for fund management and banking services
- Adhering to investment planning, controls and compliance
- Having in-depth knowledge on FEMA and Forex Regulations
The Successful Candidate -
- You are a CA with 4-5 years of relevant industry experience.
- You have handled Treasury Operations of a multi-national before and have a good understand of the Indian GAAP/US GAAP as well as IFRS norms.
- You have fair knowledge of Treasury related issues on Fund raising, Investments and Forex.
- You are a strong leader and an effective communicator.
- High on energy, you are a self starter with a strong business focus.
What's on Offer - Highly competitive compensation package
- Opportunity to lead a team of competent professionals
To Apply - http://www.michaelpage.co.IN/controller?event=JOB_APPLY_EXT&ref=I26910&source=ONL_IIMJOBS
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