Description: Hiring for one of the leading manufacturing company .
Job Description:
- Drive merger, acquisition, and divestiture initiatives aligned with organizational growth strategy, including market analysis, due diligence, synergy evaluation, and profitability impact assessment.
- Perform detailed cash flow forecasting and financial modeling to support strategic decision-making and transaction evaluations.
- Lead end-to-end treasury management, including liquidity planning, cash flow monitoring, and optimization of working capital.
- Build and manage strong banking relationships while negotiating competitive financing terms and credit facilities.
- Oversee foreign exchange exposure management and implement effective hedging strategies.
- Manage financial risk through continuous monitoring, analysis, and mitigation planning.
- Evaluate capital structure, borrowing requirements, and fund availability to ensure optimal utilization of resources.
- Assess short- and long-term investment opportunities and provide strategic financial advisory to leadership for sustainable growth and value creation.