Posted By
Posted in
Banking & Finance
Job Code
1502317
- Establish strong relationship with banks and other financial institutions.
- Negotiate favorable terms for loans, credit facilities, and trade finance.
- Identify and manage financial risks, ensuring compliance with financial regulations and internal policies.
- Implement cash and liquidity management strategies to optimize the company's financial position
- Liaison with targeted Sr. Lenders / banks post launch of Project in debt market so that the required debt is tied up in line with project requirements.
- Have handled the basic work of IPO.Dealing with Financial Institutions, Banks for Fund Raising & Dealing with Merchant Bankers for IPO
- Expertise in managing cash flows, liquidity, and working capital of group companies.
- Raising and managing debt, including term loans and project financing.
- Hands on experience on return on investment (ROI), internal rate of return (IRR), and other decision-making tools.
- Coordinating and managing relationship with Independent Directors, Internal and statutory auditors, purchase and other business stakeholders.
- Responsible for monitoring and reporting of monthly performance to the management.
- To build and sustain healthy relationships with Banks, Mutual Funds, Insurance Companies, FIIs, Trustees, Rating Agencies etc. for efficient treasury operations.
- Monitoring credit limits and ensuring timely repayment of debts.
- Conduct in-depth financial analysis to support informed business decisions.
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Posted By
Posted in
Banking & Finance
Job Code
1502317