Posted By
Posted in
Banking & Finance
Job Code
1613219

Key Responsibilities:
- Oversee renewal and enhancement of working capital limits from banks and other creditors.
- Manage bill discounting limit enhancements through existing and new banking partners.
- Attend bank consortium meetings, respond to queries, and maintain strong banking relationships.
- Prepare and provide monthly stock statements and accurate quarterly financial statements to banks.
- Coordinate external stock audits as required by bankers.
- Work with credit rating agencies to achieve target ratings within agreed timeframes.
- Perform regular reconciliations with banks, creditors, debtors, and other stakeholders.
- Manage overall company funds, ensuring optimal utilization and cash flow.
- Formulate and implement financial procedures, treasury policies, and fund management strategies.
- Provide analysis, insights, and reports to support senior management decision-making.
Required Skills & Qualifications:
- Proven leadership and financial management experience in corporate treasury or similar roles.
- Strong expertise in financial reporting, analysis, and reconciliation.
- In-depth knowledge of banking, credit facilities, and fund management practices.
- Experience with stock audits and working with credit rating agencies.
- Exceptional communication, negotiation, and stakeholder management skills.
- Advanced degree in Finance, Accounting, Economics, or a related field (MBA/CA preferred).
- Demonstrated ability to manage financial teams and drive operational efficiency.
- Proficiency in MS Excel, financial software, and ERP systems.
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Posted By
Posted in
Banking & Finance
Job Code
1613219