Posted By
Posted in
Banking & Finance
Job Code
1289391
Treasury Manager - Real Estate Corporate
Cash Management:
- Having exposure of cash management of Rs. 8-10,000 crores annually
- Direct cash management operations to include daily cash administration, management of current accounts and bank relationships
- Pool cash from all subsidiary bank accounts
- Co-ordination for completing formalities of related party transaction for movement of funds from one company to another company
- Assessment and Implementation of industry best practices
- Review and drive improvements in cash management, ensuring financial obligations are met in accordance with company policies and procedures
- Prepare cash flow reports, identify and evaluate variances
- Forecast, monitor and track cash flow (weekly, monthly, quarterly)
- Support audit related work
- Work with project managers, project controllers and sales department to accurately forecast timing and amount of future cash flows
Investment Management:
- Identify Mutual Funds to invest in as per Company guidelines to maximize returns and protect capital
- Maintain relationships with mutual funds
-Timely MIS to identify and evaluate variances from the targeted income from investments
- Track FD rates across Banks, maximize ROI.
Treasury Management:
- Support Head Treasury in month end activities
- Tracking account debits and highlighting unusual amounts being charged by bank
Trade Finance:
- Opening/Amendment/Management of Bank Guarantees, Letter of Credit
- Foreign remittances within RBI norms which requires working knowledge of FEMA regulations
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Posted By
Posted in
Banking & Finance
Job Code
1289391