ABOUT THE ROLE:
- Monitoring and managing the organization's bank relationships and liquidity.
- Managing all banks/lenders compliances (monthly/quarterly/yearly) and well versed with applicable accounting standards
- Handle accounting reconciliation and statutory auditors/outsourcing partners for due diligence etc.
- Independently managing foreign currency exposure, foreign currency payments and hedging requirements (if applicable)
- Forecasting of medium and long- term cash flow planning
- Daily cash management with visibility of day's plan
- Debt facilities management - fresh debt raises, refinancing current debt (WCDL/Term loans/Project finance)
- Liaising with senior management across the organization
- Supporting the month end process where necessary
- Managing insurance portfolio as a part of risk management
- Managing FDs/BGs/LCs and credit agencies for credit rating
- Hands-on experience in cash management and cash pooling for the entire organization
- Exposure to cross border transactions and managing relationships with major banks
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