Posted By
Posted in
Banking & Finance
Job Code
1350338
- Develop and execute comprehensive treasury strategies aligned with the company's financial goals, risk tolerance, and regulatory requirements.
- Manage daily cash flows to ensure optimal liquidity and cash utilization while minimizing idle cash balances.
- Identify and execute funding opportunities to meet the company's capital requirements.
- Implement risk mitigation strategies related to interest rate exposure, currency risk, and other financial risks.
- Maintain strong relationships with banking partners, negotiate favourable terms, and manage banking services efficiently.
- Ensure compliance with all relevant regulatory requirements, reporting standards, and internal controls related to treasury activities.
- Monitor financial markets and economic trends to identify opportunities and threats that may impact the company's treasury functions.
- Collaborate with senior management on strategic initiatives, mergers and acquisitions, and other corporate finance activities.
- Assisted in financial modelling activities and fund raising for projects.
- Technical & Financial due Diligence/Appraisal of various projects with lenders.
- Involved in vetting & negotiating the various financial / Negotiation of Documentation legal convenants.
- Interacting with banks for Appraisal of cost overrun.
- Restructuring of Term loan.
- Preparation of CMA for estimating the working capital requirements.
- Corporate Debt restructuring.
- Refinancing of Bank Loan and sponsor debt.
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Posted By
Posted in
Banking & Finance
Job Code
1350338