Responsible for day-to-day treasury operations, independently manage the Company's daily liquidity, fund movement, surplus deployment and investment liquidation and efficient deployment of the company's available funds while keeping management continuously updated on the Company's cash position.
- Treasury MIS &
- Reporting –
- Prepare daily/periodic treasury MIS covering bank balances,
investments, expected inflows/outflows, borrowing utilisation and liquidity position.
- Coordination –
- Work closely with Finance, Accounts, Business, Operations and lenders/banks
for smooth execution of treasury activities.
Core Competencies
- Strong understanding of NBFC treasury and liquidity management
- Hands-on experience in banking operations and fund transfers
- Knowledge of FDs, Mutual Funds and short-term investment products
- Strong Excel and cash-flow management skills
- High attention to detail and ability to manage time-sensitive transactions
- Robust coordination and follow-up skills
- Ability to independently manage day-to-day treasury operations
Qualification
- CA / MBA Finance / CA Inter / equivalent qualification preferred.