Strategy, Treasury
2 days ago
Position: Manager Strategy, Treasury & Cash Flow Management
Location: Mumbai
Company: Husk Power Systems
About the Company:
Husk Power Systems is a global award-winning clean energy company powering rural prosperity across India and Sub-Saharan Africa. With cutting-edge AI-powered renewable solutions, Husk is driving sustainable growth in rural communities.
Key Responsibilities:
- Manage daily cash flow, liquidity, and forecasting.
- Support FDI, forex, treasury operations, and hedging strategies.
- Contribute to preparation and analysis of Financial Statements (FS) & MIS reports.
- Drive process improvements in treasury and reporting functions.
- Provide financial insights for strategic initiatives and capital allocation.
- Collaborate with internal stakeholders for integrated financial planning.
- Ensure compliance with financial regulations and internal controls.
Requirements:
- Qualification: Chartered Accountant (CA) or MBA in Finance/Strategy.
- Experience: 3–6 years in treasury, cash flow, FP&A, or corporate finance.
- Skills: Strong financial acumen, analytical & problem-solving ability, Excel & ERP proficiency (SAP/Oracle/NetSuite preferred), excellent communication.
- Sector exposure in renewable energy/infrastructure is a plus.
Why Join Husk:
- Competitive compensation as per industry standards.
- Flexible work culture, career growth opportunities, 18-day paid leave, family health insurance, inclusive and diverse workplace.
Equal Opportunity:
Husk strongly encourages female candidates to apply.
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