- Manage cash flow, funds flow, and working capital for the company's iron & steel business.
- Oversee treasury operations, including managing foreign exchange risks and optimizing returns on investments.
- Develop and implement strategies to improve liquidity ratios, reduce costs, and increase efficiency in financial transactions.
- Collaborate with cross-functional teams to identify opportunities for cost savings and process improvements.
Job Requirements :
- 5-15 years of experience in banking or finance industry with expertise in cash flow management, funds flow management, treasury, and working capital management.
- Robust understanding of bank operations and ability to analyze complex financial data.
- Proven track record of developing effective treasury strategies that drive business growth while minimizing risk.
📌 Treasury (Ahmedabad)
🏢 Meghmani Dyes And Intermediates
📍 Ahmedabad
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