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MANAGER - Corporate Finance Treasury

5.00 to 7.00 Years   Mumbai City   24 Mar, 2023
Job LocationMumbai City
EducationNot Mentioned
SalaryNot Disclosed
IndustryManufacturing
Functional AreaFinance / Accounts / Tax
EmploymentTypeFull-time

Job Description

    Position Title / Designation: Sr. Manager/ Manager- Corporate FinanceFunction / Department / Business Unit: Finance / Finance & Accounts/ Corporate Finance & TreasuryLocation: MumbaiReports to: GM - TreasuryPURPOSE OF THE ROLE: Front office : Forex, Commodity & IR Management ; International Trade SupportPosition Title / Designation: Sr. Manager/ Manager- Corporate FinanceFunction / Department / Business Unit: Finance / Finance & Accounts/ Corporate Finance & TreasuryLocation: MumbaiReports to: GM - TreasuryPURPOSE OF THE ROLE: Front office : Forex, Commodity & IR Management ; International Trade SupportGrade/Level : L5M/L6M Responsibilities & Key Deliverables Run the company s FX hedging program (analysis of FX exposures, execute trades, reporting, etc.) in a timely and effecitive manner in accordance with fx hedging policy - covering all fx exposures including trade , capex, economic exposures and other balance sheet exposuresMonitoring and hedge recommendation for forex exposures of Mahindra group companiesTracking of exposures in key commodities including formulating hedging policies , recommending timely hedges including new approaches to commodity hedgingBuilding relationships with Business units and Group companies to understand requirements and associated FX, Commodity and IR risks arising from these businesses - and formulating appropriate hedging and trade solutions for the sameFacilitation of international trade including trade finance, export credit, confirmation/discounting of LCs, credit insurance , rupee denominated trade and other innovative solutionsMIS & Presentations to senior managementKeep abreast of the regulatory changes to ensure that financial risks are proactively and optimally hedged, and no exposure to risk of non-compliance with regulations exists.Special treasury projects, such as optimizing the existing treasury management system to automate more processes and reduce manual error, enhanced reporting etcUpdating Macroeconomic trends & analysis to senior management including weekly macroeconomic report Experience ~5-7 year relevant post qualification experience (preferably in a conglomerate /across diverse businesses) Competencies Should be well versed in and have practical experience of Forex Operations including various Hedging instruments Hedge Accounting. Exposure to Commodity Hedging will be preferred . Good working knowledge of Bloomberg, Reuters , other Fx dealing platforms, Connect with BanksExcellent interpersonal, verbal, and written communication skills, Strong attention to detail and sense of urgency when it comes to execution, Ability to manage and lead the full life cycle of projects and tasks, High integrity & ethical standards Qualifications Chartered Accountant / MBA ,

Keyskills :
corporate financebalance sheetinternational tradecredit insurancetreasury management

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