Key Responsibilities:
- Lead end-to-end fund-raising activities across global and domestic markets (debt/equity/hybrid instruments).
- Develop capital-raising strategies aligned with the group's business plans and liquidity needs.
- Build and maintain strong relationships with global and domestic banks, financial institutions, investors, and rating agencies.
- Drive negotiations on terms, pricing, and covenants for all fund-raising instruments.
- Monitor capital market trends, investor appetite, and regulatory developments to proactively plan fundraising.
- Ensure compliance with all applicable laws, financial covenants, and internal policies.
- Collaborate with CFOs, business heads, and legal teams for transaction execution.
- Guide and lead a team of 20-25 treasury professionals, fostering high performance and alignment with organizational goals.
- Implement systems, processes, and controls to enhance treasury operations and risk management.
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