12 Sep
|
LUBI INDUSTRIES
|
Ahmedabad
12 Sep
LUBI INDUSTRIES
Ahmedabad
Department
Finance Manager
Qualification
Chartered Accountant
Experience
10 to 15 years
Salary
As per experience & knowledge
Finance Manager
Corporate Office , Ahmedabad
Lubi Group of Industries is a diversified engineering company with a strong presence across pumps, motors, electronics, EV solutions, valves, and solar energy systems. With over six decades of manufacturing excellence and innovation, we have built a trusted reputation in both domestic and global markets. Our product portfolio serves a wide range of applications including commercial buildings, industries, agriculture, domestic use, and renewable energy.
Backed by a robust distribution network and fully integrated in-house manufacturing, Lubi continues to deliver reliable, efficient, and future-ready solutions to customers across sectors.
for Finance Manager
Division: Finance & Accounts | Post: Finance Head (Banking & Treasury)
We are looking for a motivated and experienced Finance Head (Banking & Treasury) to join our team!
Education Qualification & Certifications Required
- Qualification: Chartered Accountant
- Degree of MBA Finance and SAP skills will be added advantage.
Functional Skills
Banking & Financial Institution Management
- Develop and maintain robust relationships with banks, financial institutions, and other lenders.
- Manage working capital limits, term loans, letters of credit, bank guarantees, and other banking facilities.
- Ensure timely renewal, enhancement, and restructuring of banking facilities, wherever required.
- Drive negotiations for fund-based and non-fund-based credit facilities and Negotiate competitive interest rates, banking charges, terms, and covenants.
- Execute Mortage / Hypothication documents and ensure seamless Security Perfections.
Fund Raising & Debt Management
- Initiate the planning and execution of short-term and long-term funding requirements.
- Evaluate various financing options and recommend the most cost-effective funding structure.
- Manage debt portfolios, repayment schedules, interest obligations, and lender compliance.
- Support capital expenditure and expansion projects through appropriate financing arrangements.
- Prepare presentations and financial information required by lenders and financial institutions.
Financial Risk Management
- Prepare rolling cash flow forecasts and funding plans.
- Work closely with business and finance teams to assess future funding requirements.
- Provide management with timely analysis of liquidity, borrowings, interest costs, and financial risks.
- Support annual budgeting and long-term financial planning from a treasury perspective.
MIS, Reporting & Compliance
- Prepare and present treasury and banking MIS for senior management.
- Monitor key treasury KPIs, borrowing costs, fund utilization, and working capital performance.
- Ensure compliance with internal policies, statutory requirements, and banking agreements.
- Coordinate with auditors, bankers, consultants, and other stakeholders on treasury-related matters.
The Finance Manger (Banking & Treasury) will be responsible for leading the organization's banking relationships, treasury operations, liquidity management, fund raising, cash flow planning, and financial risk management. The role requires a highly experienced finance professional with strong expertise in working capital management, banking negotiations, debt management, and strategic treasury planning. The position will report to the CFO and work closely with senior management, business heads, banks, financial institutions, and internal finance teams to ensure adequate funding, optimal utilization of financial resources, and effective management of financial risks.
📌 Finance Manager (Ahmedabad)
🏢 LUBI INDUSTRIES
📍 Ahmedabad