Treasury Relationship Front Office
1 day ago
HI EVERYONE,
GREETINGS FOR THE DAY
WE HAVE WONDERFUL JOB OPPORTUNITY FOR THE POSITION OF TREASURY RELATIONSHIP FRONT OFFICE FOR THE POSITION OF SENIOR MANAGER.IF YOUR INTERESTED KINDLY SHARE YOUR RESUME TO 8688403002.
POSITION ; SENIOR GENERAL MANAGER / GENERAL MANAGER
CTC; 18-20 LPA
EXP; 8PLUS YEARS
LOCATION; KOLKATA
EDUCATION: CA / MBA
JOB DESCRIPTION:
Spearheading the fundraising initiative (debt/structured finance) of the Company to ensure clear visibility of funds / credit limit for ensuring Business growth and cash flow requirement.
2. Nurture and develop extensive relationship (existing and new relationship) with Senior Bank Officials, NBFCs, Fund Managers, FIIs and major local and international Investment Banks.
3. Negotiation with different stakeholders (including, but not limited to, Banks, Investors, Rating agencies, Trustee, Legal Counsel) on different terms and conditions, commercials to reduce overall landing cost for the company envisaging future compliance requirements
4. Representing company to Institutional Investors, PE firms, Mutual Funds, Banks, FI, FIIs, Rating Agencies, Debenture Trustees, Registrars, Brokers/intermediaries to ensure that the adequate credit limits are available which has in turn led to development of extensive relationships.
5. Responsible for liquidity and cash management which includes planning, cash flow monitoring, managing bank accounts, ensuring optimum utilization of funds including investment management.
6. Handling financial due-diligence and interfacing with investment bankers/due-diligence firm/investors for any proposed equity investments
7. Financial modelling in lines with the current and proposed business and operational strategy
8. Preparing loan proposals and Credit Monitoring Arrangement data (CMA) for term loan/cash credit lines/ECBs/NCDs/Tier-II Capital/off-balance sheet funding and other instruments
9. Monitoring the Monthly/quarterly/annual reporting to investors/lenders/other stakeholders
10. Covenant tracking for various lenders
11. Innovation in terms of investment of surplus liquidity or new fundraising instruments to improve the profitability of the department with minimum risk
12. Ensuring best practices for treasury controls are in place and are in compliance with the regulatory guidelines
13. Execute Assignment / Securitization/NCD transactions; Prepare pool, execute the transaction and prepare monthly payout reports.
14. Prepare / amend the ALM, pricing and other Treasury related policies
**Salary**: ₹15,000.00 - ₹20,000.00 per month
Schedule:
- Day shift
Ability to commute/relocate:
- Kolkata, West Bengal: Reliably commute or planning to relocate before starting work (required)
**Education**:
- Master's (preferred)
**Experience**:
- total work (preferred)
**Language**:
- Hindi/ English (preferred)
- English (preferred)
**Speak with the employer**
+91 8688403002
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