Function: Finance & Accounts - Treasury Qualification: MBA Finance (Full Time) Experience range: 6 – 12 yrsJob Location: Azamabad, Near RTC Cross Road, HyderabadOperationMonitor and manage the organization's cash flow, ensuring adequate liquidity for daily operations including reviewing the all payment transaction.Oversee treasury operationsExecute the Letter of Credit, Bank Guarantee.Provide regular reports on treasury Operation to the treasury Head.All month end closing activities related to treasury activitiesReviewing the Import and export transaction.Execution of transaction banking ComplianceEnsure the compliance with covenant and with regulatory requirement/Bankers and submitting the periodical Information to bankers.EDPMS and IDPMS compliance and daily basesMIS & OthersAll month end closing activities related to treasury activitiesPreparation of MIS related to Banking Data.Coordination with Banker for Procurement of Working Capital Loans/Term Loan and coordinating with treasury head for vetting Loan documents and security creation.Collaborate with internal stakeholders to develop and implement treasury policies and procedures.Identify opportunities for process improvement and automation within treasury functions
Job Title
Treasury Manager