Posted By
Posted in
Banking & Finance
Job Code
891437
Senior Executive - Treasury
Job Description :
Required Senior Executive Treasury in a leading manufacturing organization SRF Ltd for their corporate office in Gurgaon
Department : Treasury in Finance and Accounts
Bright candidates with excellent communication and analytical skills Candidates working in SSC setup handling banking relationships
Brief Job description :
- Maintain through Investment Management system
- Perform daily and monthly valuation of Investment Portfolio
- Track all internal and external investments limits and escalate breaches to management
- Support in analyzing the effectiveness of previous investment decisions
- Monitor closely financial press and keep a track of possible credit risk in the underlying portfolios of fund house.
- Ensuring maintenance of FD register
- Ensure correct accounting of the investments
- Liason with internal and external auditors for closure of pending issues
- Setup the daily bidding process in consultation with Head Treasury
- Identification and evaluation of vendors that can be routed through the online portal
- Coordinating with SSC / IT team / Process optimization team for closure of issues if any.
- Maintaining detailed MIS of the early payments made and discount offered.
- Coordinating with C2FO and business sourcing team for ramp up of the program.
- Mapping pendencies as per RBI with Banks data and identifying the business units
- Coordinating with business teams to identify the root cause of the issue
- Coordinating with banks to understand their perspective on each issue
- Prepare a summarized way forward to enable decision making by management
- Ensure closure of cases in the RBI database
- Preparation of a cash balance report, analysis of dispositive cash positions
- Manage daily liquidity tracking and cash position reporting of short-term forecast
- Reporting of excess balance in EEFCsavailable for utilization
- Ensuring movement of funds as per agreed plan
- Responsible for ensuring all interest and principal payments are made in time
- Coordinating with the directors Global BV for signing of the MIFT
- Maintaining and forecasting cash positions at Global BV
- Communication with corporate consolidation team for ensuring proper accounting of each transaction
- Maintaining Global BV banks accounts
- Managing the centralized Bank account management system
- Updating records in case of new account opening / signatory change / closing of banks account
- Ensuring the BR issued has been maintained by the Bank
- Ensuring closure of identified non-operational accounts
- Work as the main point of contact for handling issues of business teams / SSC / taxation team
- Understating the issues escalated and presenting the same to head treasury for resolution
- Coordinating with banks for discussing the way forward for resolution of issues
- Updating business team on the progress and of the backup plan
- 15 CA / CB issuance
- MIS reports pertaining to Investment, EDPMS / IDPMS, Dynamic Discounting etc. to be prepared
Akshaya
9977500112
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Posted By
Posted in
Banking & Finance
Job Code
891437