Team Member Corporate Real Estate (cre) Business Head

Year    India, India

Job Description

:

Brief background of the job:

  • Daily Cash Management activities related to centralized NBFC Treasury Back Office (current debt size appx of Rs.5600 crs)
  • Operations activities including co-ordination with external agencies such as NSDL (demat related), BSE (listing related), Custodian, Registrar and MIS related activities.
  • Adherence to guidelines and coordination with various parties for smooth issuance of various instruments including NCDs, CPs, ICDS, Bank loans, etc.
  • Adhering to Internal controls, Approval authorities and being compliant as per the regulatory authorities and Board Resolution's.
  • Query resolution of various Business Units, Banks, other miscellaneous activities and MIS reporting.
  • Systems development / Compliance, etc.
  • Daily cash management encompasses managing of inflows and outflows of funds on a daily basis (as listed below)
  • Timely Servicing of debt
  • Ensuring Company internal funds transfers
  • Estimating Cash flow requirements of various BU's
  • Investments in MF's /FDs
  • Timely completion of daily banking through RTGS/transfers
The role requires:
  • Ability to handle pressure, do multi-tasking, Proactive, qualitative approach and problem
  • Solving along with good analytical skills
  • Ensure timeliness and meeting of Deadlines under the daily volumes of treasury related
Activities
  • Self-Starter (i e. ability to identify challenges & opportunities and take initiatives)
  • CA/MBA with 2 to 4 years of experience in managing NBFC Treasury Operations

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Job Detail

  • Job Id
    JD2934260
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    India, India
  • Education
    Not mentioned
  • Experience
    Year