Overview

Areas of Responsibility :

Working Capital Management & Cash Conversion:

– Track KPIs on working capital to identify inefficiencies and opportunities to optimize current capital

– Improve cash flows

Funding Strategies:

– Evaluate and arrange cost-efficient alternative funding strategies for the Supply Chain ecosystem

Investments & Borrowings:

– Track and maximize returns on Treasury investments within company policy guidelines

– Explore least-cost borrowing strategies as needed

Foreign Exchange (Fx) Management:

– Hedge Fx exposure as per Treasury Policy guidelines

– Maximize FX gains

Relationship Management:

– Maintain cordial relationships with company bankers and financial partners

Accounts Payable & Receivables:

– Monitor and improve performance and efficiency of centralized AP & AR functions

Insurance Management:

– Protect the company from financial losses due to unforeseen events such as property damage, liability claims, or business interruptions

Qualification and Experience:

– Chartered Accountant

– 12 to 15 years of experience, with at least 8+ years in Treasury

– Preferably in FMCG industry, listed company, with experience in exports

– Experience in handling banking, investment & borrowing management, insurance, payables & receivables functions

– Experience working in SAP environment

Key Skills & Core Competencies:

Functional Competency:

– Strong understanding of Treasury solutions, systems, and processes including AP & AR

– Financial and business acumen

– Knowledge of FMCG industry

– Proficiency with MS Office tools

Behavioural Competency:

– Deep analytical and critical thinking skills

– Good interpersonal skills to navigate cross-functional teams

– Cost and process focused; effective team player to achieve business objectives

– Strong influencing, negotiation, and communication skills

– Hands-on approach to problem-solving

– Ability to work under pressure and meet deadlines