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AGM-Treasury :Leading Business Group

AGM-Treasury :Leading Business Group

Edinburgh Web
  • Posted 15 hours ago
  • Be among the first 10 applicants

Job Description

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Key Result Areas

As part of Corporate Treasury team and is expected to support in following areas.

  • Managing Daily cash flows of the Group in most cost-efficient manner.
  • Managing working capital effectively by monitoring key metrics, cash flow forecasting process across the group.
  • Analyze & propose various borrowing alternatives, trade finance / multi-currency structures, etc along with hedging structures on a regular basis.
  • Tracking Fx Exposures, supporting timely hedging with approved instruments in most cost-efficient manner.
  • Analyzing and executing investment transactions while performing rigorous credit risk analytics, due diligence to maximize risk adjusted returns.
  • Maintaining relationship with key stakeholders (Banks. Advisors, AMCs, etc).
  • Manage compliance for overseas transactions.
  • Keeping the management updated on market developments, expected changes and its impact on Group's portfolio.
  • Accounting, monitoring and reporting of treasury transactions on a timely basis.
  • Compliance with Regulatory guidelines & company policies.

Incumbent profile:

  • CA/MBA-Premier with 5 + years of domain expert in concepts of Treasury & Finance.
  • Relevant experience in Investments Management.
  • Experience in cash management and treasury operations would be an advantage
  • Significant Exposure of working in SAP environment.

COMPENSATION: 30 LPA

Queries:

Anoop Sinha, PROFILE HR CONSULTANTS PVT LTD

<[Confidential Information]>

Cell-9773520069

More Info

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Key Skills

Hedging structures

Multi-currency structures

Credit risk analytics

Investment transactions

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