Qualification : ICWA/CA/MBA Finance with 15 to 20 years of work experience , preferably in software services company , Relevant exp in other industries including manufacturing is also fine . Location :Pune, Sharda center office Area of experience and expertise : Foreign exchange risk management : Fx Hedging , managing large Fx hedge book, Hedge accounting , Receivable factoring , Analysis of hedging agreements and RPA -Receivable purchase agreements Track currency movement and take opinions of Bank Tracking gains/Losses on forward cover cancellation, arrange for funding of losses and track transfer of gain. Monthly and rolling forecast of fx gain/loss , compare actuals vs forecast and variance analysis Fx operations Automation/ process improvement Investment of surplus funds in various instruments as per Investment policy, Managing large investment book Managing Month end and quarter end book closure activities related to fx hedging and investments , Fx gain/loss analysis Building and managing relationships with Banks ,AMC’s/Mutual funds and Fx consultants Managing and supporting Internal and Statutory Audit , preparation for Quarterly Board meetings Support to business /sales/delivery/Ops for Fx transactions, queries , customer contract clauses etc .. Other Skills : Willing to learn and improve , Good listening and grasping , Good analytical skills Eye for details ; positive attitude, problem solving skills Team management , Good team player Managing various stakeholders including team members , colleagues and business stakeholders Willing to stretch and go extra mile to meet KRA’s/deliverables ..
Job Title
Group Treasury Manager