B2B Global Manufacturing | IPO-Ready / Pre-Listing Organization
Role Overview
The Assistant Manager - Corporate Finance & Treasury will play a key role in strengthening treasury operations, foreign exchange management, and banking processes in line with IPO readiness requirements. The role involves managing forex exposure, ensuring strict FEMA and RBI compliance, supporting audit and disclosure requirements, and working closely with internal and external stakeholders to enhance financial controls, transparency, and governance standards expected of a listed company.
Key Responsibilities
#
Treasury & Cash Management (IPO Readiness Focus)
Manage day-to-day treasury operations including cash positioning, fund flow, and liquidity planning.
Prepare accurate cash flow forecasts, working capital analysis, and funding plans aligned with IPO projections.
Support optimization and monitoring of fund-based and non-fund-based credit facilities.
Assist in establishing and documenting treasury policies, SOPs, and internal controls in line with listed-company best practices.
#
Foreign Exchange (Forex) Management
Manage forex exposure arising from imports, exports, overseas subsidiaries, ECBs, buyer's credit, and other cross-border transactions.
Execute and monitor forex transactions including spot, forward contracts, swaps, and other RBI-permitted hedging instruments.
Implement and monitor forex hedging strategies aligned with board-approved risk management policies.
Track and report MTM positions and hedge effectiveness with high accuracy and timeliness.
#
Forex & Regulatory Compliance
Ensure full compliance with FEMA, RBI Master Directions, and Authorized Dealer (AD) bank requirements.
Manage and review forex-related documentation and statutory filings including:
SOFTEX returns
FETERS
ECB and trade credit reporting
Import/export remittance compliance Support internal audits, statutory audits, tax audits, and limited reviews with specific focus on forex and treasury transactions.
Assist in preparing documentation and explanations for due diligence by investment bankers, legal advisors, and auditors as part of IPO preparation.
#
Banking & Trade Finance
Manage relationships with domestic and international banks.
Handle trade finance instruments including:
Letters of Credit (LCs)
Bank Guarantees (BGs)
Packing Credit (Rupee / PCFC)
Buyer's Credit and other structured trade finance products Assist in negotiation and renewal of banking limits, pricing, covenants, and documentation.
Ensure timely execution and compliance of all banking transactions with strong audit trails.
#
Reporting, Governance & Stakeholder Coordination
Prepare robust MIS, dashboards, and management reports for treasury, forex exposure, hedging, and banking positions.
Support preparation of finance-related disclosures, schedules, and notes required for IPO documentation and DRHP.
Coordinate with internal teams (Accounts, Tax, Legal, Secretarial, Supply Chain) to ensure data accuracy and consistency.
Liaise with bankers, auditors, consultants, and advisors during IPO readiness and listing processes.
Qualifications & Experience
Education
CA / CMA / MBA (Finance) from a recognized institution.
Experience
3 to 7 years of experience in Corporate Finance, Treasury, or Forex operations.
Experience in an IPO-bound, listed, or highly regulated organization is strongly preferred.
Exposure to audit processes, internal controls, and compliance frameworks is an advantage.
Key Skills & Competencies
Strong working knowledge of:
Treasury operations and cash management
Forex markets, hedging instruments, and MTM accounting
FEMA, RBI regulations, and AD bank processes
Domestic and international banking in India
Trade finance and working capital products Understanding of governance, documentation, and controls required for listed companies.
High attention to detail, accuracy, and compliance mindset.
Strong communication skills to interact with senior management and external stakeholders.
Proficiency in MS Excel, ERP systems (SAP preferred), and financial reporting tools.
Why Join Us
Opportunity to be part of a high-impact IPO journey
Exposure to best-in-class treasury, forex, and governance practices
Work closely with top-tier banks, auditors, and investment bankers
Strong career growth in corporate finance within a listed-company environment
B2B Global Manufacturing | IPO-Ready / Pre-Listing Organization
Role Overview
The Assistant Manager - Corporate Finance & Treasury will play a key role in strengthening treasury operations, foreign exchange management, and banking processes in line with IPO readiness requirements. The role involves managing forex exposure, ensuring strict FEMA and RBI compliance, supporting audit and disclosure requirements, and working closely with internal and external stakeholders to enhance financial controls, transparency, and governance standards expected of a listed company.
Key Responsibilities
#
Treasury & Cash Management (IPO Readiness Focus)
Manage day-to-day treasury operations including cash positioning, fund flow, and liquidity planning.
Prepare accurate cash flow forecasts, working capital analysis, and funding plans aligned with IPO projections.
Support optimization and monitoring of fund-based and non-fund-based credit facilities.
Assist in establishing and documenting treasury policies, SOPs, and internal controls in line with listed-company best practices.
#
Foreign Exchange (Forex) Management
Manage forex exposure arising from imports, exports, overseas subsidiaries, ECBs, buyer's credit, and other cross-border transactions.
Execute and monitor forex transactions including spot, forward contracts, swaps, and other RBI-permitted hedging instruments.
Implement and monitor forex hedging strategies aligned with board-approved risk management policies.
Track and report MTM positions and hedge effectiveness with high accuracy and timeliness.
#
Forex & Regulatory Compliance
Ensure full compliance with FEMA, RBI Master Directions, and Authorized Dealer (AD) bank requirements.
Manage and review forex-related documentation and statutory filings including:
SOFTEX returns
FETERS
ECB and trade credit reporting
Import/export remittance compliance Support internal audits, statutory audits, tax audits, and limited reviews with specific focus on forex and treasury transactions.
Assist in preparing documentation and explanations for due diligence by investment bankers, legal advisors, and auditors as part of IPO preparation.
#
Banking & Trade Finance
Manage relationships with domestic and international banks.
Handle trade finance instruments including:
Letters of Credit (LCs)
Bank Guarantees (BGs)
Packing Credit (Rupee / PCFC)
Buyer's Credit and other structured trade finance products Assist in negotiation and renewal of banking limits, pricing, covenants, and documentation.
Ensure timely execution and compliance of all banking transactions with strong audit trails.
#
Reporting, Governance & Stakeholder Coordination
Prepare robust MIS, dashboards, and management reports for treasury, forex exposure, hedging, and banking positions.
Support preparation of finance-related disclosures, schedules, and notes required for IPO documentation and DRHP.
Coordinate with internal teams (Accounts, Tax, Legal, Secretarial, Supply Chain) to ensure data accuracy and consistency.
Liaise with bankers, auditors, consultants, and advisors during IPO readiness and listing processes.
Qualifications & Experience
Education
CA / CMA / MBA (Finance) from a recognized institution.
Experience
3 to 7 years of experience in Corporate Finance, Treasury, or Forex operations.
Experience in an IPO-bound, listed, or highly regulated organization is strongly preferred.
Exposure to audit processes, internal controls, and compliance frameworks is an advantage.
Key Skills & Competencies
Strong working knowledge of:
Treasury operations and cash management
Forex markets, hedging instruments, and MTM accounting
FEMA, RBI regulations, and AD bank processes
Domestic and international banking in India
Trade finance and working capital products Understanding of governance, documentation, and controls required for listed companies.
High attention to detail, accuracy, and compliance mindset.
Strong communication skills to interact with senior management and external stakeholders.
Proficiency in MS Excel, ERP systems (SAP preferred), and financial reporting tools.
Why Join Us
Opportunity to be part of a high-impact IPO journey
Exposure to best-in-class treasury, forex, and governance practices
Work closely with top-tier banks, auditors, and investment bankers
* Strong career growth in corporate finance within a listed-company environment
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