Senior Manager - Treasury - CA, INT Audit, MUST
Role & responsibilities:
Treasury:- Ensure adequate liquidity for working capital as well as long term needs and invest excess cash.
- Managing the end-to-end Fx exposure management process in line with the global Fx policy.
- Manage business/equity valuations relating to capital injections and capital restructuring activities.
- Lead WoCa / Cash Flow analytics to bring out meaningful actions / decisions.
- Treasury / bank related queries including Bank Guarantee / Letter of Credit etc.
- Manage and scale up the Supplier financing program.
- Manage and scale up the Channel financing program.
- Regulatory adherence to Indian Central Bank guidelines relating to Imports, Exports, Foreign Direct Investment, hedging etc.
Internal Audit:- Oversee the full Internal Audit cycle including risk management and control management over operations effectiveness, financial reliability and compliance with all applicable laws and regulations.
Preferred candidate profile:- Qualified Chartered Accountant having 7+ years of experience.
- In-depth knowledge of Treasury Operations - daily cash flow management / investments / borrowings.
- Strong understanding of banking (payment and settlement systems, FEMA etc).