- Interaction with the banks and maintaining a good relationship for effective banking. Negotiation with Banks (Multiple/ Consortium Banking) for Working capital limits (FB/NFB) at prudent cost.
- Investment Management: - Investment of surplus funds (Investment Scouting for Bonds) – Through understanding of Products MF schemes /Bonds/Fixed Deposits and Interest rate dynamics impacting investment their getting the best returns on the investment.
- Ensure the best credit rating being assigned to the company borrowings
- Ensure all Answering / resolving all queries of the investors /investment community.
- Ensure Liquidity for the fulfilment of short & long-term Liability & future investments
- Ensure proper Delivering on new technology to be adopted by the company (Artificial Intelligence/Machine Learning)
- Supervision of Trade Finance Activity like issuance of Bank Guarantees, Letter of Credit, Buyers Credit, foreign remittances
- Managing Adequate liquidity for short term and long term business needs at all times. Effective utilization of funds, including investment of idle funds to get optimum yield.
- Coordinating with Banks for various cash management services/banking products. Negotiating and Analysis of Bank Charges.
- Regular interaction and relationship with analyst and investor community meeting and calls. Presentation for quarterly analyst meet and for investor conferences/roadshows and also prepare competition data. Ensure Market Intelligence, with in-depth Financials benchmarking for senior management.
- Ensure compliance to Trade Finance Compliance & adherence to Bank Covenants
- Effecting the Foreign currency remittances as per prescribed FEMA/RBI guidelines.
- Managing the inward remittances received in various banks on daily basis.
- Updating daily forex fluctuations to management along with analysis
- Managing forward contracts, related documentation, co-ordination and compliances
- Regular MIS reporting of all forex related trades, balances and exposures – timely reporting for accurate management decision making
- Working knowledge of LC, BC and BG and application as per business requirement
- Import payments procedures - DA/DP/LC/ Advance, LC opening process (Import & Inland), IDPMS
- Foreign currency remittances – Outward remittance i.e. Form A1, A2, 15CA, 15CB etc, and Inward Remittance i.e. Export Proceeds, Advance Export Receipt, other receipt etc.
- Bank Guarantee: Processing of Bank Guarantees Performance & Financial, records of Outstanding Bank Guarantee
- Support to various functions like SCM/Purchase and others
- Accounting /SAP Updation and Reconciliation of Bank Charges
- Coordinating with credit agencies
- Monitoring and Controlling IDPMS States Regulatory
Job Requirements :
- 5-15 years of experience in banking operations or treasury management.
- SAP experience is must.
- Solid understanding of fund planning, treasury operations, and banking regulations.
- Proven ability to analyze complex data sets to inform business decisions.
- Excellent communication skills with the ability to work effectively across multiple departments.
📌 Treasury Manager (Pune)
🏢 Finolex Industries (FIL)
📍 Pune
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