Hiring for Corporate Finance - Treasury Management (CA Qualified)
JD for Manager - Corporate Finance
Treasury Management:
Capex Appraisal and Business Plan:
- Review Proposal for new capex investment of group companies and formulate process for capex appraisal and monitoring
- Make Financial Plan for New Investment Opportunities.
Hedging strategy:
- Manage and monitor the hedging strategy for the Group to mitigate the financial risk, associated costs and the timeline
Incentives from Govt:
- Work with Business to maximize availing of various central and State govt Incentives
Treasury operations:
- Work closely with various internal teams and external teams (like bankers, investors, Financial Institutions, advisors, etc) for raising funds at competitive pricing, negotiating terms and in required timelines.
Restructuring:
Due diligence: Carry out due-diligence reviews on prospective target companies from a financial and tax perspective
Valuation: Review and work out Valuation of new Investment Opportunities using appropriate valuation methods
Restructuring: Work out re-structuring options to maximize Fund raising Potential and Tax planning.
Project Management: Formulate activity tracker and strategy for the Restructuring Transactions
Hiring Specifications:
- Qualified membership of ICAI
- Around 3 to 6 years' of experience in the field of Treasury, Corporate Finance, & Restructuring operations
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