Posted by
Posted in
Banking & Finance
Job Code
1708572

Role: Treasury
Location: ETV, Bangalore
Work Experience: 10 - 14 Years
Qualification: CA Mandatory
Skills: Working Capital Management, Liquidity & Cash Flow Planning, Credit Facilities and Capital Structure, Investment & Surplus Management, Treasury Accounting, Controls & Compliance, Treasury Systems & Technology, Strategic Treasury & Business Partnering, Foreign Currency Risk Management, Stakeholder Bill Discounting Programs, Cash Management Services
Lead a team to manage:
1. Liquidity Management:
- Day to day liquidity management
- Cash flow forecasting
- Coordination with stakeholders for ensuring efficient fund planning
- Management reporting for Liquidity position and requirements
2. Investments Management:
- Investment policy design
- Assessment of investment papers
- Day to day transaction processing
- Yield computation and assessment
3. Foreign Currency Risk Management:
- Monitoring forex exposures
- Ensuring timely and accuracy in hedging to adhere to the policy
4. Inter-company borrowings:
- Monitoring intercompany funding needs
- Monitor, create, modify the IC arrangements basis the needs
- Ensuring transactions are within the limits
5. Treasury Automation:
- Evaluating and implementing products that will enable Treasury process automation
- Move all Treasury activities to the newly implemented Kyriba platform
6. Treasury Accounting, Schedules Closures and MIS:
- Ensuring timely and accurate accounting of Treasury activities
- Ensuring timely and accurate preparation of schedules
- Ensuring effective audit closures
7. Treasury Controls and Operations:
- Monitoring, strengthening and streamlining Treasury Controls
8. Banking Governance:
- Managing bank accounts set up, closure, KYCs
- BR updations
- Enabling and monitoring banking accesses
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Posted by
Posted in
Banking & Finance
Job Code
1708572