Manager Treasury Mid and Back Office Pune

Manager Treasury Mid and Back Office Pune

1 Nos.
115549
Full Time
6.0 Year(s) To 8.0 Year(s)
15.00 LPA TO 18.00 LPA
Accounts / Finance / Tax / CS / Audit
Banking/Financial Services
Job Description:

Key Responsibilities

MID Office

  • Preparation of Borrowing MIS, Investment MIS and Interest Payout report.
  • Monthly submission of NDS to Rating Agency
  • Submission of ECB returns and tracking Compliance for NCD and CP. 
  • Updating of Covenant Tracker and Complying the same.
  • Timely submission of Stock Statement to Banks on Monthly basis.
  • Manging Quarterly and half yearly receivable audit with Banks.
  • Timely payment to borrower as per the schedule timeline.

Cash & Liquidity Management

  • Operate daily cash flow forecasting and monitoring to ensure liquidity requirements are met.
  • Prepare reports such as Bank MIS and cash forecasts for treasury and finance management.

Accounting for Treasury Transactions

  • Record all borrowing transactions including ECBs. Commercial Papers, NCDs, Term Loans, Working Capital Lines.
  • Book investment transactions such as fixed deposits, mutual funds, G-Secs, and other long term/short-term instruments.
  • Accrue and amortize interest income/other expenses using the effective interest rate (EIR) method as per IND AS 109.
  • Track and account for forex transactions, including gain/loss due to currency fluctuations.

Bank Reconciliations & Cash Accounting

  • Reconcile treasury-related bank accounts and resolve open items with the treasury team.
  • Account for bank charges, commissions, LC/BG fees, and other banking costs.
  • Post cash flow entries related to treasury instruments daily.

Month-End / Quarter-End Closings

  • Prepare journal vouchers (JVs) for all treasury transactions.
  • Support financial closing by providing accurate schedules for borrowings, investments, and related costs.
  • Support internal and statutory audits by preparing required schedules and reconciliations.
  • Ensure documentation and audit trails for all treasury transactions

Record keeping & Documentation

  • Ensure timely upload/maintenance of authorized signatories, KYC, internet banking user setups.
  • Support to Treasury Front Office Team
Company Profile

--- --- --- ---, a --- Group Company, is a 100% captive finance subsidiary of --- --- --- established for the purpose of running it as an NBFC, exclusively to finance vehicles manufactured and/or marketed by --- --- --- and its subsidiaries/associates.
Certificate of Registration for carrying on the NBFC Business was received from Reserve Bank of India on 29 August 2023.
The Company was incorporated as --- --- Consumer Finance --- on 6 December 2021. After the change of the name of the Company from --- --- Consumer Finance --- to --- --- --- ---, the fresh certificate of incorporation was received from Registrar of Companies, Pune, on 26 December 2023.

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