https://bayt.page.link/5cmGs3NSBhJiDvry7
أنشئ تنبيهًا وظيفيًا للوظائف المشابهة

الوصف الوظيفي

Control & Compliances within Group Treasury for Liquidity & Investment vertical


Day to day operations – Investment in MF & validation in financial management system (K+)


Funding gap analysis; Counter party risk of portfolio; Risk reward ratio analysis


Liquidity Management, group companies and foreign subsidiaries


Inter- company and shareholders loan agreements formulation, updation & renewal


Generating Revenue for the Process & the Organization


Reporting – Quarterly Board Dossiers, Monthly Treasury Reports, Daily reporting to top management.


Key Competencies:
 Overall responsibility for managing & monitor of day to day treasury processes & operations
 Ensuring the Fund forecast efficiency is met at an optimum level on the basis of Daily Cash flow shared on daily/monthly basis in an MIS projections by CSS and WCM team
 Controlling the operations under the Liquidity, Investments & WCM teams in Group Treasury to ensure internal/external compliances are met according to policies & frameworks
 Building a strategy around investments & deposits at India & International entities
 Efficient & effective MIS management & reporting to senior management



Requirements:
Qualified MBA/ PGDBM Finance/ CA with 3-5 years of post-qualification experience
Collaborative attitude with learn agility and excellent communication skills




لقد تجاوزت الحد الأقصى لعدد التنبيهات الوظيفية المسموح بإضافتها والذي يبلغ 15. يرجى حذف إحدى التنبيهات الوظيفية الحالية لإضافة تنبيه جديد
تم إنشاء تنبيه للوظائف المماثلة بنجاح. يمكنك إدارة التنبيهات عبر الذهاب إلى الإعدادات.
تم إلغاء تفعيل تنبيه الوظائف المماثلة بنجاح. يمكنك إدارة التنبيهات عبر الذهاب إلى الإعدادات.