Asst Manager Treasury
Job Description
Bank Credit Lines Review of Bank Credit Lines.
\nIntroducing New Banks in Portfolio
\nReview of Bank Documents.
\nSetting up Limits and execution of documents Borrowings
\nEnsure Timely renewal of limits
\nPrepare Audit Data Explore various borrowings instruments like NCD/Issue of Commercial paper etc.
\nManage NCD issue, preparation of GID/KID, various statutory compliances and co-ordination with Lead Counsel, Trustee etc.
\nPrepare Debt Equity Report and monitor on regular basis.
\nSupport team in Placement of Commercial Papers (CP) and broadening the investors base for the commercial paper program of the Company. CMA and Stock Statement Preparation of CMA for various Banks.
\nResolve Bank Queries
\nEnsure timely submission.
\nArrange data from various internal stakeholders for Stock Statement.
\nEnsure Timely Stock Audit Compliances, Audit and Automation Preparation of End Use Certificate for Banks
\nReview and suggest improvements in internal control systems relevant to treasury operations and debt obligation etc
\nPreparation of Cash Budget and Cashflow Forecast.
\nEnsure CARO related compliances.
\nReview and suggest improvements in existing standard operating procedures related to treasury functions
\nEnsure SEBI compliances for related to NCD issue and other Debt instruments.
\nProviding MIS related to treasury function including information required for monthly/ quarterly/ annual closure/ annual report purpose. Interacting with Internal / Statutory Auditors.
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