Job Overview:
You will play a pivotal role in managing and optimizing the organizations cash flow investments and liquidity. Your responsibilities will encompass a range of treasury activities including fund management investment portfolio management risk assessment and compliance. You will work closely with financial institutions banks and internal teams to ensure efficient cash management and adherence to regulatory requirements.
Key Responsibilities:
- Liquidity Management:
- Monitor and manage daily cash positions to ensure the organization has sufficient liquidity to meet operational requirements.
- Develop and implement shortterm and longterm liquidity strategies to optimize cash resources.
- Forecast cash flows and identify potential liquidity gaps.
- Investment Portfolio:
- Manage the investment portfolio including selecting appropriate investment instruments and optimizing returns while managing risk.
- Conduct research and analysis to identify suitable investment opportunities such as fixed income securities money market instruments and other financial products.
- Implement investment strategies to enhance the organizations returns on surplus funds.
- Bank Relationships:
- Build and maintain strong relationships with financial institutions banks and other relevant partners to facilitate banking transactions credit facilities and investment opportunities.
- Negotiate banking terms and conditions including credit lines and interest rates to maximize the organizations financial advantage.
- Risk Assessment:
- Evaluate and manage financial and market risks including interest rate risk credit risk and currency risk.
- Ensure compliance with regulatory requirements related to treasury operations.
- Cash Forecasting:
- Develop and maintain cash flow forecasts and budgets to support decisionmaking and efficient fund utilization.
- Collaborate with other departments to gather data and insights for accurate cash forecasts.
- Treasury Reporting & Accounting:
Prepare and present treasury reports to senior management highlighting cash positions investment performance and risk assessment.
- Implement systems and tools to streamline treasury operations and reporting.
- Good Hold on Accounting Concepts and well versed with Treasury Accounting.
- Banking Operations:
- Oversee banking operations including payments fund transfers foreign exchange transactions and other banking activities.
- Manage relationships with multiple banks and financial institutions to ensure smooth banking operations.
- Compliance:
- Ensure compliance with all applicable laws and regulations governing treasury operations and investment activities.
- Stay updated on regulatory changes and communicate them to the treasury team.
Qualifications and Skills:
- Masters in business administration or a related field is preferred. Relevant certifications or coursework in treasury management are advantageous.
- Minimum of 57 years of experience in treasury management with a demonstrated track record in managing cash flow investments and banking relationships.
- Strong understanding of treasury strategies investment products and risk management practices.
- Excellent communication and negotiation skills.
Qualifications :
CA MBA
Remote Work :
No
Employment Type :
Fulltime