The person will be responsible for supporting the overall Treasury portfolio including but not limited to Banking Relations & Working Capital Management, Forex Management, Cash Flow Management, Credit Rating
Borrowing/Forex
1. Support debt servicing and operations of companys borrowing portfolio, foreign exchange, derivative transactions
2. Support relationships with banks, lenders and other key players of money/ forex /debt markets
3. Ensure 100% compliance with bank covenants and complete RBI/ Banking regulatory compliance
4. Support in External Credit Rating Cash-flow/ Operations
5. Overseeing Cash-flow forecasting process - maintenance & betterment- Banking integration - support for implementing banking solutions, bank reconciliation, minimizing float etc.
6. Issuance of LC, BG,
availing of Buyers Credit (material/Capex), compliance reporting (FIRC, Forex, FEMA, Exposure declaration), monitoring forward cover rates, auditing support, charge creation
7. Month end closure/ MIS/ BRS/ Bank charges tracking
Cross Functional
Support FP&A; & Accounting team in variance analysis & presentationsJob Requirements:
- Must Haves: -
Educational Qualification: preferably MBA with minimum 4yrs of experience
- Good Communication Skills (Written & Oral)
- Solid analytical and presentation skills
- Time Management & Ability to prioritize work / Multitasking
- Advanced spreadsheet skills and Working Knowledge in SAP
The person must be a domain expert with strong control over key concepts of Treasury & Accounting