Full job description

Key Responsibilities:

1. Cash & Liquidity Management

  • Monitor daily cash flow and ensure required funds available for operations.
  • Forecast short-term and long-term liquidity needs.
  • Optimize working capital and manage bank accounts efficiently.

2. Banking, Financial Transactions, Guarantees & compliance

  • Preparation & submission of online/offline banking applications (Including Letter of Credit/Bank Guarantees etc.).
  • KYC documentation for the financial institutions.
  • Follow up with Banks on day-to-day banking activities
  • Interest computation and accruals.
  • Oversee bank reconciliations and resolve discrepancies.
  • Ensure compliance with financial regulations, internal controls and company policies.

3. Investment & Debt Management

  • Monitor loan agreements and debt repayment schedules.
  • Provide inputs in budgeting and strategic planning.

Required Skills & Qualifications:

  • Bachelor’s degree in finance, accounting, economics, or a related field (MBA or professional certifications is a plus) with minimum 3 years of experience in treasury section of a company.
  • Technical Skills: Strong knowledge of financial management, banking operations, and treasury risk analysis.
  • Software Proficiency: Experience with treasury management systems (TMS), ERP software, and Advanced Excel.
  • Analytical Skills: Ability to analyze financial data and provide strategic insights.
  • Communication Skills: Ability to liaise with banks, internal teams, and senior management.

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