Assistant Treasury
2 days ago
Assistant Manager Finance (Treasury)
Godrej Agrovet
Mumbai, Maharashtra, India
Job Title:
Assistant Manager - Finance (Treasury)
Job Type:
Permanent, Full-time
Function:
Treasury, Finance
Business:
Godrej Agrovet
Location:
Mumbai, Maharashtra, India
About GIG:
At the Godrej Industries Group, we are privileged to serve over 1.1 billion consumers globally through our businesses with market leadership positions in the consumer products, real estate, agriculture, financial services and chemicals industries.
About Godrej Agrovet:
Godrej Agrovet Limited (GAVL) is a diversified, Research & Development focused agri-business Company dedicated to improving the productivity of Indian farmers by innovating products and services that sustainably increase crop and livestock yields. GAVL holds leading market positions in the different businesses it operates - Animal Feed, Crop Protection, Oil Palm, Dairy, Poultry and Processed Foods. GAVL has a pan India presence with sales of over a million tons annually of high-quality animal feed and cutting- edge nutrition products for cattle, poultry, aqua feed and specialty feed. Our teams have worked closely with Indian farmers to develop large Oil Palm Plantations which is helping in bridging the demand and supply gap of edible oil in India. In the crop protection segment, the company meets the niche requirement of farmers through innovative agrochemical offerings. GAVL through its subsidiary Astec Life Sciences Limited, is also a business-to-business (B2B) focused bulk manufacturer of fungicides & herbicides. In Dairy and Poultry and Processed Foods, the company operates through its subsidiaries Creamline Dairy Products Limited and Godrej Tyson Foods Limited. Apart from this, GAVL also has a joint venture with the ACI group of Bangladesh for animal feed business in Bangladesh.
For more information on the Company, please log on to
Roles & Responsibilities:
Key Responsibilities
Cash Flow Management
:
- Monitor daily cash flow and ensure adequate liquidity to meet operational needs.
- Forecast cash requirements, align them with business cycles, and manage surplus cash for optimum yield.
- Implement efficient cash flow strategies, including accelerating receivables and managing payables.
Funding and Investment Management
:
- Source short- and long-term funding, including lines of credit, loans, and bond issuances if needed.
- Identify investment opportunities to enhance returns on excess cash, balancing risk and liquidity needs.
- Optimize debt-to-equity ratio and manage cost-effective financing solutions.
Working Capital Management
:
- Collaborate with procurement, production, and sales teams to manage working capital.
- Analyze and optimize inventory levels to balance production demands and financial efficiency.
- Implement strategies to improve accounts receivable (AR) and accounts payable (AP) cycles.
Risk Management
:
- Develop policies to mitigate financial risks, including foreign exchange, interest rate, and commodity price risks.
- Use hedging and other financial instruments where appropriate.
- Ensure compliance with financial regulations and internal risk management policies.
Banking and Relationship Management
:
- Maintain strong relationships with banks, financial institutions, and investment partners.
- Negotiate fees, terms, and services with banking partners to optimize costs and improve service levels.
- Conduct periodic reviews of banking arrangements and seek new opportunities for improvement.
Reporting and Analysis
:
- Prepare treasury reports and forecasts for senior management, including cash flow, debt status, and risk exposure.
- Conduct variance analysis against budgets and forecasts, identifying trends and recommending actions.
- Support external reporting requirements, such as financial statement disclosures and compliance reports.
Key Skills:
- Financial Acumen
: Strong understanding of corporate finance, capital markets, and investment analysis. - Analytical Skills
: Ability to interpret financial data, assess risk, and forecast financial outcomes. - Technical Knowledge
: Proficiency in treasury management systems, financial modeling, and enterprise resource planning (ERP) software. - Communication and Negotiation
: Strong skills in negotiating with banks and conveying financial insights to stakeholders. - Regulatory Awareness
: Knowledge of financial regulations, accounting standards, and compliance requirements. - Problem-Solving
: Ability to devise effective solutions to financial challenges, particularly in managing liquidity and risk.
Educational Qualification:
MBA – Finance or CA
Experience:
- Financial Acumen
: Strong understanding of corporate finance, capital markets, and investment analysis. - Analytical Skills
: Ability to interpret financial data, assess risk, and forecast financial outcomes. - Technical Knowledge
: Proficiency in treasury management systems, financial modeling, and enterprise resource planning (ERP) software. - Communication and Negotiation
: Strong skills in negotiating with banks and conveying financial insights to stakeholders
If this sounds like a role for you, apply now
We look forward to meeting you.
-
Assistant Manager- Treasury
8 hours ago
Mumbai, Maharashtra, India JioStar Full time ₹ 12,00,000 - ₹ 36,00,000 per year· Manage borrowing processes including drawdowns and repayments and assist with renewal of credit facilities · Maintain borrowing schedules, covenant compliance, and related treasury reports. · Monitor interest and principal payments, ensuring timely servicing of debt. · Involving in KYC process of...
-
Assistant Manager- Treasury
6 days ago
Mumbai, Maharashtra, India JioStar Full time ₹ 12,00,000 - ₹ 36,00,000 per year· Manage borrowing processes including drawdowns and repayments and assist with renewal of credit facilities· Maintain borrowing schedules, covenant compliance, and related treasury reports.· Monitor interest and principal payments, ensuring timely servicing of debt.· Involving in KYC process of...
-
Specialist Global Treasury
4 days ago
Mumbai, Maharashtra, India UPL Limited Full time ₹ 12,00,000 - ₹ 36,00,000 per yearJob Title: Specialist Global TreasuryLocation: Mumbai, IndiaReporting To: Global Lead TreasuryRole Overview:We are seeking a proactive and detail-oriented Treasury Senior Specialist to join our Global Treasury team in Mumbai. This role will support global liquidity planning, FX operations, debt monitoring, and treasury reporting. The candidate will...
-
Treasury Specialist
2 weeks ago
Mumbai, Maharashtra, India Leadspire Consulting Pvt. Ltd. Full time ₹ 9,60,00,000 - ₹ 12,00,00,000 per yearJob Title:Treasury SupportDesignation:Senior ExecutiveExperience:2–5 yearsCTC:8-10 LPALocation:Malad West, MumbaiCompany:LeadSpire Consulting Pvt. Ltd.About the RoleLeadSpire Consulting Pvt. Ltd. is seeking a detail-oriented and proactive professional to join our Finance team as aTreasury Support Executive / Associate. The role will primarily support...
-
Treasury Manager
2 weeks ago
Mumbai, Maharashtra, India Nuvoco Vistas Corporation (Nuvoco) Full time ₹ 12,00,000 - ₹ 36,00,000 per yearPurpose of the job: The purpose of this job :(a) To manage and ensure optimal deployment of daily cash flows (collections and payments through banks) across Cement & A&C Divisions(b) To handle, issue and monitor all non-fund based exposure of the company (Letters of Credit and Bank Guarantees)(c) To assist N+1 for maintenance and periodic renewals of...
-
Manager - Corporate Treasury
9 hours ago
Mumbai, Maharashtra, India BSR & Co Full time ₹ 12,00,000 - ₹ 36,00,000 per yearDescriptionAbout KPMG in IndiaKPMG entities in India are professional services firm(s). These Indian member firms are affiliated with KPMG International Limited. KPMG was established in India in August 1993. Our professionals leverage the global network of firms, and are conversant with local laws, regulations, markets and competition. KPMG has offices...
-
Vice President Treasury
1 week ago
Mumbai, Maharashtra, India Jefferies Full time ₹ 8,00,000 - ₹ 24,00,000 per yearAbout UsJefferies Financial Group Inc. (''Jefferies,'' ''we,'' ''us'' or ''our'') is a U.S.-headquartered global full service, integrated investment banking and securities firm. Our largest subsidiary, Jefferies LLC, a U.S. broker-dealer, was founded in the U.S. in 1962 and our first international operating subsidiary, Jefferies International Limited, a U.K....
-
Treasury Manager
1 week ago
Navi Mumbai, Maharashtra, India Acme Services Full time ₹ 6,00,000 - ₹ 18,00,000 per yearAssisting in fund-raising from banks, mutual funds, FIs, insurers & corporates.Preparing CAM, bank proposals, IM, KID & offer documents.Handling lender queries independently.Liaising with internal/external stakeholders.Strong knowledge of Treasury, Banking, and NBFC sector practices.Good understanding of debt raising, loan documentation, and...
-
Specialist - Treasury & Credit control
1 week ago
Mumbai, Maharashtra, India Tata Communications Full time ₹ 9,00,000 - ₹ 12,00,000 per yearAbout The CompanyTata Communications Redefines Connectivity with Innovation and IntelligenceDriving the next level of intelligence powered by Cloud, Mobility, Internet of Things, Collaboration, Security, Media services and Network services, we at Tata Communications are envisaging a New World of CommunicationsAbout The CompanyTata Communications Redefines...
-
Administrator - Treasury & Banking
2 weeks ago
Mumbai, Maharashtra, India Branch International Full time ₹ 2,00,000 - ₹ 4,00,000 per yearBranch OverviewBranch is a leading AI-based lending fintech with 50M+ downloads across India and Africa. We use alternative data to reach millions of people that are largely excluded from the financial sector.Headquartered in Silicon Valley with operations in India, Nigeria and Kenya, Branch is a for-profit, socially conscious company built for scale and...