Manager - Treasury

Department Icon Treasury & Forex
82+ Applicants
Posted: 2 years ago
4-6 years
Navi Mumbai, Maharashtra, India
Work From Office

Posted: 2 years ago
|
Applicants: 82+
Job Description
About Company
Similar Jobs
Please verify your account first! Send OTP

Please click on the Apply to verify the status of jobs posted more than 15 days ago, as they may have expired. Similar Jobs

Job Description

Objective of the position:
Be the primary contact for all Treasury related matters in India for BASF entities in India which involves Daily Cash Management (DCM), Manage Forex exposure, Liaison with banks / statutory bodies / regional treasury / service hub for treasury operations and documentation, Efficient funding, etc.
Main Tasks:
  • Adherence of BASF guidelines and processes (e.g. appropriate use of hedge instrument, hedging of open exposure, GURU framework, optimizing financing through local and Group point of view)
  • Support regional treasury to ensure efficient source of finance to fund the short term working capital as well as long term capital investment needs (eg ECB, Masala Bond, Buyers credit, Commercial paper, export finance etc.)
  • Support Treasury Front Office in daily fund monitoring & ensuring fund transfer, loan, FD are done properly in time for BIL & BCIPL.
  • Support Treasury Front Office in management of FX position & payments. Forward cover & maintaining Forex related compliance as per new RBI guideline.
  • Coordinate dividend planning with regional treasury / local finance and legal.
  • Coordinate yearly credit rating with rating agency / local finance / regional treasury / CFT.
  • Business partnering. Providing financial insights, analysis, and strategic support to business unit, enabling informed decision-making and driving business performance through effective collaboration, budgeting, forecasting, monitoring key performance indicators, and evaluating new business opportunities.
  • Monitoring of Bank open item (Bank Reconciliation)
  • Dealing on regular basis with bankers to solve any routine queries also for any specific requirements of documentation for Commercial Paper, FD, and Loan etc.
  • Driving automation in finance processes (eg document warehousing, e collect, smart PDF etc.)
  • Managing the relationship with banks and statutory bodies.
  • Monitoring and forecasting of collections / surplus funds and operating cash flow
  • Fraud prevention related measures (with the regional team)
Job Requirements:
  • CA with minimium 4 years experience in Treasury in a MNC setup (preferably in a manufacturing MNC)
  • Strong knowledge of Treasury and Finance
  • Good in managing relationship with Bankers and NBFC personnel
  • Fluent in English - written and oral communication
  • Hands on with MS office especially MS Excel and Powerpoint - Working knowledge of PowerBI will be an added advantage

Skills

Export FinanceForexTreasuryTreasury OperationsCash ManagementCredit RatingFund TransferHedgingCa

If a job posting appears fraudulent, asks for payment, contains misleading information, or violates our guidelines, please report it immediately. Our team will review it promptly, Jobaaj does not charge any fee from the applicants.

About Company

BASF SE is a German multinational chemical company and the largest chemical producer in the world. The BASF Group comprises subsidiaries and joint ventures in more than 80 countries and operates six integrated production sites and 390 other production sites in Europe, Asia, Australia, the Americas and Africa

Important dates & deadlines?

Application Deadline

30 Jul 24, 10:30 AM IST

Similar Jobs

View All
Loading...
Bag Logo
Jobaaj
Don't Miss out any Updates

Subscribe now for the latest job alerts
and never miss an update

Job Alert
Google hiring for Specific Roles Apply Now!
1 min ago
New Opportunity
Amazon is hiring freshers Apply Now!
5 min ago
Featured Jobs
Microsoft opening 50+ positions Apply Now!
10 min ago

Manager - Treasury

Share with