Assistant Manager Treasury, Banking, Corporate Finance, ACG Group
ACG
- Posted: 19 hours ago
- Openings: 10
- Applicants: 0
Job Description
Position - Assistant Manager Treasury, Banking, Corporate Finance, ACG Group.
Department - Corporate Finance.
Location - Jogeshwari, Mumbai.
Reporting to - Deputy General Manager, Treasury - Banking, ACG Group
Job Objective
- Understand the debt requirement of the group and execute optimum financing solution
- Undertake all the necessary activities for meeting the funding requirement of the group companies including foreign subsidiary
- Act as a link between Forex front office and group companies for follow up on exposure and support in day to day FX operations.
Primary Responsibilities
Debt Finance:
- Monitoring of cash flow and financial covenants of all group companies on periodic basis.
- Monitor compliance with financing conditions and obligations as per loan documents
- Coordinate the drawdown/repayment formalities for debt facilities.
- Timely completion of all activities related to security/mortgage creation and perfection against the loans.
- Reviewing the documentation.
- Periodic activities related valuation, TSR
- Completion of relevant ROC filings
- Monitoring of cash flow and financial covenants of all group companies on periodic basis.
- Support to businesses in ODI transactions
- Assist in preparation of ODI documents
- Resolve queries from banks
- Support in completing the periodic filings related to ODI
- Support in all Banking activities as per business requirements
- Remain updated on the RBI notifications/circular.
- Ascertain implications on business operations.
- Support to Business for closure of EDPMS/IDPMS
- Trade finance transactional support as per business requirements
- Monitoring and analysing the bank balances across foreign subs
- Bank charges monitoring across all group companies, ensure uniformity
Forex:
- Preparing Daily Deal Blotter
- Ensuring all disposal emails received are attended
- Sending All Import Payments Disposals to Bank
- Daily Updating Forward File and ensure it tallies with Back office
- Resolving Bank queries by coordinating with SSC Team
- Collate data for hedging FX risk of foreign subsidiary
- In case inward is not credited and rates are in PAST DUE resolving the same by speaking to bank / SSC Team
- MTM to entities
- Monthly MIS.
More Info
Education
Any Graduate
Not Disclosed
Required Skills
Treasury
Treasury Operations
Debt Financing
Payments
Working Capital Management
Utilization
Bank Coordination
Cash Forecasting
Contact Details
ACG
+91 987654567
info@acg-world.com
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