18 Sep
|
Klenzaids
|
Mumbai
Role & responsibilities
Treasury & Banking Management
Manage corporate cash to ensure optimal daily liquidity. Oversee banking relationships and negotiate competitive service fees.
Maintain bank accounts, signatory mandates, and online banking platforms.
Ensure regulatory compliance for all foreign and domestic banking operations
Budget Estimates & Financial Planning
Develop annual budget and financial forecasts estimates and periodic financial forecasts. Collaborate with departments to gather accurate data for projections.
Risk Management & Hedging
Identify financial risks related to foreign exchange and interest rates. Execute hedging strategies using derivative instruments like forwards and options.
Creditors Management
Optimize working capital by managing the accounts payable lifecycle. Review aging reports to ensure timely payments to key vendors.
customer financing for local and global customers
Financial Planning and Analysis
Preferred candidate profile
Education: Bachelors / Master’s degree in Finance, Accounting
Experience: 5 – 12 years & Minimum 5years in corporate treasury, banking, or financial operations.
Technical Skills: Proficiency in Treasury Management Systems (TMS) and Advanced Exc
📌 Senior Officer / Assistant Manager Treasury & Fpna Mumbai
🏢 Klenzaids
📍 Mumbai