Description:
- We are seeking a qualified professional to manage our treasury and investment operations, ensuring prudent capital deployment and effective portfolio management across debt, secured, and equity investments.
- The role requires a balance of analytical skill, financial acumen, and hands-on execution.
Key Responsibilities:
- Manage daily and long-term treasury operations, including liquidity, fund allocation, and cash flow planning.
- Oversee investment portfolios across debt, secured instruments, and equity markets.
- Conduct fundamental analysis of equity investments - including company financials, valuation models, and risk-return assessments.
- Identify and evaluate secured and debt investment opportunities, ensuring compliance with internal policies and risk parameters.
- Prepare regular investment reports and performance reviews for leadership.
- Maintain documentation and MIS related to investment decisions, performance, and compliance.
- Coordinate with external partners, advisors, and custodians as needed.
Desired Candidate Profile:
- Background in finance, investment research, or treasury management.
- Prior experience in an equity research firm, investment advisory, or treasury division preferred.
- Strong understanding of fundamental analysis, valuation models, and capital markets.
- Excellent analytical, reporting, and communication skills.
- Flexibility to work full-time or part-time, either remotely or from office.
Qualifications:
- Bachelors or Masters degree in Finance, Accounting, Economics, or related field.
- Professional certifications such as CA, CFA, or MBA (Finance) are advantageous.
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