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RATNAAFIN

Assistant Manager - Treasury

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  • Posted 11 hours ago
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Job Description

Roles and Responsibilities

  • Manage treasury operations, including cash flow management, debt restructuring, fund raising, and strategic financial planning.
  • Oversee compliance with regulatory requirements and maintain accurate records of all transactions.
  • Develop and implement effective treasury policies to optimize returns on investments.
  • Collaborate with cross-functional teams to identify opportunities for cost savings through efficient use of resources.
  • Support charge creation, modification, and satisfaction filings with ROC; maintain an updated and centralized repository of all debt-related documents.
  • Act as a coordination point between internal teams and lenders/banks for day-to-day queries, data requests, and follow-ups.
  • Support in managing existing lender relationships and assist in the onboarding of new lenders.
  • Coordinate stock audits, DP (Drawing Power) computations, and related working capital facility requirements with banks
  • Prepare and maintain MIS reports on borrowings, repayment schedules, interest outflows, and utilization of credit limits.
  • Support the due diligence process for new lender onboarding and assist in deal structuring discussions by preparing comparative analyses, term sheet summaries, and data packs.

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About Company

Job ID: 149057671