Overview

An MNC Company in data center business

Main Assignments:

Candidate with at least 2 years of work experience in treasury function (preferably in the infrastructure sector). The candidate should be well versed in day-to-day treasury operations like cash flow planning. investment of surplus funds in FDs & Debt MFs, accounting of treasury transactions in SAP, bank account maintenance, debt servicing. bank-related compliances etc. The candidate should be good in verbal and written communication and should have a good working knowledge of Excel.

– Main Responsibilities Preparation of daily cash flow for fund planning and cash flow forecasting

– Investment of surplus funds in FDs and Debt MFs.

– Preparation of Term Loan interest working and ensuring timely servicing of interest and & principal.

– Accounting of treasury-related transactions and preparation of treasury schedules required for month end book closure and audit.

– Completion of documentation related to KYC, bank account opening & closing.

– Timely completion of all banks related compliances e.g. UFCE, due diligence reports, end use certificates etc.

– Supporting external stakeholders like Banks, Credit Rating Agencies with renewal related information and business related updates.

– Assisting in new debt tie ups and loan documentation,

Skills Experience:

– Chartered Accountant/ MBA Finance

– Min 2 years

– Experienced in treasury operations Exposure to the ERP (SAP/Oracle)

– Good knowledge of MS Excel

– Should be a team player

– Has good interpersonal skills

– Works with cross functional team