11 Sep
|
JSW Dulux
|
Mumbai
Role & responsibilities
We are looking for a Treasury professional with 34 years of mandatory corporate treasury experience to manage working capital, fund and cash flow management, banking relationships, trade finance, forex hedging and regulatory compliance.
Key Responsibilities
- Manage working capital requirements and ensure efficient utilisation of available funds.
- Manage funds and cash flows, including regular monitoring of cash inflows and outflows.
- Support cash flow forecasting and ensure adequate liquidity for business requirements.
- Manage investment of surplus funds in line with internal policies and approved investment guidelines.
- Build and maintain strong relationships with bankers and other financial institutions.
- Coordinate with banks for various treasury and funding requirements.
- Manage Bank Guarantee issuance, amendments, renewals and closures.
- Manage initiation and processing of Letters of Credit (LCs) and other trade finance instruments.
- Support channel financing arrangements and related banking processes.
- Manage and monitor foreign currency exposure and forex hedging requirement
- Coordinate treasury requirements relating to imports and exports.
- Work on relevant customs portals for import/export-related treasury transactions and documentation.
- Ensure timely monitoring and compliance of transactions under IDPMS and EDPMS.
- Ensure compliance with applicable RBI and FEMA regulations.
- Manage relevant secretarial/statutory filings and documentation pertaining to treasury transactions.
- Ensure completeness and accuracy of treasury documentation and maintain appropriate audit trails.
- Ensure process integrity, governance and compliance across all treasury-related activities.
- Coordinate with internal and external stakeholders for treasury-related requirements and transaction closure.
- Liaise with bankers for funding, trade finance,guarantees, foreign exchange and other treasury requirements.
- Support audits and ensure timely closure of treasury-related observations and compliance requirements.
Key Stakeholders
Internal:
Accounts | Contracts | ITP | PTO | OTC | Business Procurement | Commercial Controllers | Finance Teams
External:
Bankers | Financial Institutions | Other relevant regulatory / transaction partners
Candidate Profile
- 3-4 years of relevant Treasury experience is mandatory.
- Experience should preferably be on the corporate side rather than purely within a bank.
- Robust hands-on exposure to:
Working Capital Management, Fund Management, Cash Flow Management, Forex Hedging, Bank Guarantees, Letters of Credit, Trade Finance, Channel Financing, Import/Export Transactions, IDPMS & EDPMS, RBI & FEMA Compliance, Banking Relationship Management, Investment Management
- Strong stakeholder management and coordination skills.
- Ability to work across multiple internal and external stakeholders while ensuring process discipline and compliance.
Educational Qualification
- MBA Finance / B.Com / M.Com / CMA (Not CA)
📌 Treasury Manager (Mumbai)
🏢 JSW Dulux
📍 Mumbai