Main Purpose:
To perform designated responsibilities on a day-to-day basis as laid down in this document and supporting operations besides assisting in other initiatives.
Knowledge Skills and Abilities, Key Responsibilities:Daily cash flow updating, review & analyse variances and provide comments on the same.
Consolidate, review & manage all inter-company flows
Initiate and ensure timely settlement of foreign exchange transactions.
Co-ordination with affiliate treasurers to ensure WC optimization
Tracking of external receivables and follow-up for timely realisation
Management of external facility drawdowns & repayments
Preparation of 9-week cash flow forecast & compile comments on variances
Consolidate local/regional cash flow forecast for Group Treasury
Managing banking relationships for KYC, account opening/closing, exceptional transactions etc.
Monitoring bank charges & highlighting scope for reduction
Support Group Treasury on various initiatives & analysis
Participate in new TMS implementation.
ExperienceDegree Educated or equivalent
Experience preferably in Cash Forecasting & International payment settlements
Working on a Treasury Management System would be an added advantage esp. Kyriba
Ability to handle multiple stakeholder engagement
SkillsPossess strong numerical and analytical skills
Good verbal and written communication skills with the ability to articulate complex information
Proficient in Microsoft Office especially Excel & PowerPoint
Key Relationships and Department Overview:Treasury (Region & Operations)
Local & Regional Finance
Supply & Trade Finance
Accounting & Controlling
Tax
Business Support
* Legal
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