Senior Manager - Treasury (Pune)

Senior Manager - Treasury (Pune)

23 Aug
|
Sanghvi Movers
|
Pune

23 Aug

Sanghvi Movers

Pune

Position: Fundraising & Investment - Treasury

Reports To: Head of Treasurer

Location: Pune, SML Corporate Office

Job Type: Full-Time

Job Summary

We are seeking a highly analytical and experienced Assistant Manager/Deputy Manager for our fundraising initiatives and investment portfolio management. The ideal candidate will be responsible for sourcing, negotiating, and executing debt/equity financing to support business growth, managing banking relationships, optimizing liquidity to maximize returns on surplus cash, all while ensuring compliance with regulatory and internal risk management policies.

Key Responsibilities:

1. Fundraising & Capital Structure Management

- Fundraising Support: Assist in debt/equity fundraising activities, including preparing financial models, pitch books, and loan proposals (CMA data).
- Relationship Management: Maintain and build relationships with banks, NBFCs, investors, and rating agencies to secure competitive funding, including Term Loans, Working Capital, and structured finance deals.
- Debt Servicing & Covenants: Monitor debt portfolio and manage and ensure timely interest/principal payments and manage compliance with various lender covenants.
- Due Diligence: Interface with lenders, investors, and legal counsel during financial due diligence for debt investments.

2. Investment Management

- Surplus Cash Optimization: Execute investment strategies for surplus funds in line with company policy to maximize returns while maintaining liquidity.
- Portfolio Management: Manage and monitor the investment portfolio, including treasury bills, commercial paper, and other money market instruments.

3.



Cash Management & Forecasting

- Liquidity Management: Monitor daily cash positions to ensure adequate liquidity for operational needs.
- Cash Forecasting: Develop short- and long-term cash flow forecasts, identifying potential cash surpluses or deficits.
- Banking Operations: Manage bank account structures, including opening, closing, and updating signatories.

4. Risk Management & Compliance

- Financial Risk Mitigation: Identify and mitigate financial risks, including interest rate and currency risks (FX hedging).
- Regulatory Compliance: Ensure all fundraising and investment activities comply with FEMA, SEBI and RBI guidelines.
- Internal Controls: Maintain strict treasury controls and governance.

5. Reporting & Systems

- Reporting: Prepare monthly/quarterly reports for the Board, Investment Committee, and Audit Committee.
- System Improvements: Drive automation and efficiency in treasury processes, including the use of Treasury Management Systems (TMS) and ERP systems.

Required Qualifications and Skills

- Education: CA
- Experience: 4 to 5+ years of minimum experience in corporate treasury, investment banking, or corporate finance.
- Fundraising Expertise: Proven track record in securing debt/equity financing, particularly with structured finance deals.
- Analytical Skills: Proficiency in financial modeling (Excel) to evaluate investment options and debt structures.
- Knowledge: Solid understanding of capital markets, financial instruments, and banking regulatory frameworks.
- Soft Skills: Good communication, and interpersonal skills for dealing with stakeholders and lenders.

📌 Senior Manager - Treasury (Pune)
🏢 Sanghvi Movers
📍 Pune

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