Support the Treasury Manager/Head in documentation and managing Borrowings, Investments, Forex and Banking relationships across the Mankind Pharma Group.
Key Responsibilities
Preparing daily cash flow forecast, analyse variances and ensuring liquidity
Identify and process investments and redemptions. Evaluate and suggest investment prospects in Mutual Funds and FDs.
Timely documentation and execution of debt instruments (E.g. Bank loans, Debentures, Commercial Paper, PCFC, WCDL etc.), manage working capital limits and trade finance products
Banking and Loan compliances - (including but not limited to Debenture trust deed, Covenant compliance, End use, Periodic reporting to Banks etc.)
Forex Management Trading in spot/forwards to hedge Fx exposure
Managing FEMA reporting and compliances such as ODI/FDI
Maintain all treasury related data and documents in the Treasury shared drive and support in internal/external audit
Prepare periodic MIS for Senior Management.
Send periodic update on Treasury activities including views on macro/interest rates/FX to the Board/Senior Management
Implement digital tools/dashboards in Treasury for tracking investments, cash flow forecasting, debt schedules and compliance monitoring.
📌 Assistant Manager Treasury Finance And Accounts New Delhi
🏢 Mankind Pharma
📍 New Delhi
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