11 Sep
|
Thyrocare
|
Bengaluru
11 Sep
Thyrocare
Bengaluru
Key Responsibilities:
Cash & Liquidity Management:
- Monitor daily cash positions and forecast short-term and long-term cash requirements
- Ensure optimal utilization of funds across accounts and business units
- Coordinate intra-group fund movements and intercompany lending
Banking Operations:
- Manage day-to-day banking transactions including payments, fund transfers, and settlements
- Maintain and enhance relationships with banks and financial institutions
- Negotiate banking terms, charges, and credit facilities
Working Capital & Fund Management:
- Assist in managing working capital and ensuring adequate liquidity across locations
- Support in planning and execution of short-term borrowing (OD, CC, WCDL, etc.)
- Monitor interest costs and assist in minimizing finance costs
Treasury Reporting & Controls:
- Prepare treasury MIS reports including daily cash position, fund flow statements, bank reconciliations, etc.
Compliance & Documentation:
- Ensure compliance with banking covenants, RBI/FEMA regulations (as applicable)
- Maintain records of loan documentation, credit facilities, guarantees, and treasury-related agreements
- Liaise with auditors, banks, and internal teams during treasury reviews or audits
Qualifications & Experience:
- Education: CA / MBA Finance / M.Com / Equivalent
- Experience: 3-6 years of experience in treasury operations, with a minimum of 2 years in a banking workplace
- Industry Preference: Candidates with prior experience in corporate treasury or trade finance within a bank are preferred
Skills: Compliance, Fund Management, Banking Operations, Working Capital
Experience: 3.00-6.00 Years
📌 Treasury Manager (Bengaluru)
🏢 Thyrocare
📍 Bengaluru