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Corporate Finance

4 weeks ago


Pune, India Sanghvi Movers Limited Full time

Location:

Pune, India

Reports To:

Chief Financial Officer

Experience Required:

8–10 years

Qualification:

Chartered Accountant (CA)

About Sanghvi Movers Limited

Sanghvi Movers Limited (SML) is one of the largest crane rental companies in India and ranked among the top globally. We provide heavy-lift solutions to key sectors like wind, power, steel, oil & gas, and infrastructure. With a focus on capital efficiency and sustainable growth, we are expanding our footprint domestically and internationally.

Role Overview

We are seeking a highly skilled Chartered Accountant with 8–10 years of proven experience in banking, corporate finance, treasury, and capital structuring in organisations with annual turnover exceeding ₹500 crore. The incumbent will be responsible for corporate finance strategy, treasury operations, capital allocation, and fund-raising initiatives to ensure optimal capital structure and cost of funds.

This is a strategic finance role working closely with the CFO, senior leadership, and banking partners to drive capital efficiency and long-term value creation.

Key Responsibilities

Corporate Finance & Capital Structuring

  • Formulate and execute the corporate finance strategy aligned with business growth.
  • Design optimal capital structures balancing debt, equity, and internal accruals.
  • Lead fund-raising transactions (term loans, working capital lines, ECBs, NCDs, lease financing, etc.).

Treasury & Banking Relations

  • Oversee daily treasury operations including cash flow forecasting, liquidity management, and surplus fund investments.
  • Negotiate and manage banking facilities, covenants, and credit ratings.
  • Maintain strong relationships with banks, financial institutions, and rating agencies to secure competitive terms.
  • Monitor market interest rates, forex exposures, and macroeconomic indicators to optimize borrowing and investment decisions.

Capital Allocation & Cost Optimization

  • Build frameworks for ROI-focused capital allocation across assets, projects, and geographies.
  • Optimize cost of capital and debt servicing.
  • Track utilization of funds against business plans to ensure value-accretive deployment.

Risk Management & Compliance

  • Ensure compliance with RBI, FEMA, SEBI, and other applicable financing regulations.
  • Implement internal controls and treasury risk mitigation strategies.
  • Monitor currency, interest rate, and counterparty risks and recommend hedging strategies.

Required Qualifications & Skills

  • Chartered Accountant (CA) with 8–10 years of experience in corporate finance, treasury, and capital structuring.
  • Experience in a company (or banking corporate portfolio) with annual turnover exceeding ₹500 crore.
  • In-depth knowledge of loan structuring, capital markets, and corporate banking products.
  • Strong expertise in capital budgeting and investment appraisal.
  • Excellent negotiation skills to secure competitive financing.
  • Proficiency in MS Excel, PowerPoint, and financial analysis tools.
  • Strong communication, relationship management, and stakeholder engagement skills.

Key Attributes

  • Strategic thinking with strong execution ability.
  • Integrity, financial discipline, and attention to detail.
  • Ability to work in high-growth, fast-paced environments.
  • Collaborative leadership with influence across senior levels.