Job Description:
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Manage daily treasury operations including cash flow monitoring fund transfers and bank reconciliations.
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Execute short-term and long-term investment decisions as per client or management policies.
-
Monitor and manage liquidity positions ensuring optimal utilization of funds.
-
Support in foreign exchange management hedging and exposure reporting.
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Prepare and review cash flow forecasts and treasury MIS reports.
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Liaise with banks and financial institutions for credit facilities investment placements and transaction processing.
-
Ensure compliance with RBI FEMA and other applicable regulatory guidelines.
-
Develop and strengthen internal controls around treasury processes.
-
Assist in automation and digitization initiatives to enhance treasury efficiency.
Job Description: Manage daily treasury operations including cash flow monitoring fund transfers and bank reconciliations. Execute short-term and long-term investment decisions as per client or management policies. Monitor and manage liquidity positions ensuring optimal utilization of fu...
Job Description:
-
Manage daily treasury operations including cash flow monitoring fund transfers and bank reconciliations.
-
Execute short-term and long-term investment decisions as per client or management policies.
-
Monitor and manage liquidity positions ensuring optimal utilization of funds.
-
Support in foreign exchange management hedging and exposure reporting.
-
Prepare and review cash flow forecasts and treasury MIS reports.
-
Liaise with banks and financial institutions for credit facilities investment placements and transaction processing.
-
Ensure compliance with RBI FEMA and other applicable regulatory guidelines.
-
Develop and strengthen internal controls around treasury processes.
-
Assist in automation and digitization initiatives to enhance treasury efficiency.
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