Treasury Operations Manager

adani capital pvt ltd

Ahmedabad

Not disclosed

Work from Office

Full Time

Min. 2 years

Job Details

Job Description

Finance - Treasury Operations (Ahmedabad)

Responsibilities

  • Handling treasury activities and ensuring prudent deployment/ utilization of surplus funds.
  • Cash Flow Planning to effect all payments on time for projects.
  • Discussion with commercial team about requirement of project LC and its planning.
  • Managing project LC, BG requirement and other transactions needs.
  • Relationship with banks and ensuring smooth flow of banking activities.
  • Ensure covenants compliance, submission of compliance documents on time etc.
  • Coordinate for project financing within timelines.
  • Preparation of Monthly MIS, Reporting, Audit Schedules - analyzing and preparing rationale for variances. 
  • Forex cover planning for project and ensure to adhere group policies.
  • Ensuring foreign vendor payments, LC payment and interest payments on timely basis.
  • Participate discussion on vendor payment terms and optimise cash flow.
  • Align fund planning with corporate team and banks.
  • Financial model analysis and updates.
  • Ensure Banking, RBI, FEMA Compliance etc.
  • Adherence to Group SOP/DOA.
  • Ensure no leakage in treasury related costs.

Qualifications

CA/ICWAI - 2 to 7 years expereince 

Job role

Work location

Ahmedabad, Gujarat, India

Department

Finance & Accounting

Role / Category

Treasury

Employment type

Full Time

Shift

Day Shift

Job requirements

Experience

Min. 2 years

About company

Name

adani capital pvt ltd

Job posted by adani capital pvt ltd

This job has expired