Key Responsibilities:
Banking & Treasury Accounting:
- Oversee treasury accounting (handled by the treasury team, not the controllership team).
Cash & Liquidity Management:
- Ensure compliance with investment policies and suggest policy improvements.
Banking Operations:
- Manage banking relationships and optimize fund routing.
Valuation & Fund Infusion:
- Analyze fund requirements for subsidiaries, deciding on loans or equity infusions.
Decision-Making & Team Management:
- Supervise a small team, depending on the candidate's expertise in banking or treasury.
Candidate Requirements:
Qualifications: Chartered Accountant (preferred) or MBA with strong treasury accounting and banking experience.
Experience: 810 years post-qualification.
Industry Preference: E-commerce, retail, or dynamic startups (preferred), but open to candidates from other corporate backgrounds if adaptable to a fast-paced environment.
Location Preference: Delhi NCR or North India (relocation-resistant candidates from South India not preferred).
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