Forex Management

Talent & Tracking Consultants

New Delhi

Sur place

INR 1 200 000 - 1 800 000

Plein temps

14 jours+
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Résumé du poste

Talent & Tracking Consultants is seeking an Asstt. Manager (banking, treasury and Forex Management) at its Head Office in India. A CA is mandatory with 6-8 years of experience in banking, treasury and forex management.

The role involves forex hedging, cash management, RBI-compliant reporting, MTM on forward contracts, and liaison with banks for credit facilities. Strong Excel/PowerPoint skills are essential.

Qualifications

  • CA is mandatory.
  • 6–8 years of experience in banking, treasury and forex management.
  • Experience in hedging, forward contracts and RBI-compliant reporting.

Responsabilités

  • Manage forex, cash management, and working capital activities.
  • Coordinate with banks for facilities, MTM accounting, and policy adherence.
  • Prepare MI on forex gains/losses and RBI-compliant reporting for covered and open exposures.
  • Set up multi-user authorisation on banking portals.
  • Prepare stock statements and CMA for bank submission.

Connaissances

SAP HANA
IND AS
Excel
PowerPoint
MS Word

Formation

CA

Outils

SAP HANA

Description du poste

Role & responsibilities

Position - Asstt. Manager (banking, treasury and Forex Management)

Location - Head Office

Education - CA (Mandatory)

Experience - 6 -8 Years

  • Experience in booking forward contracts, options etc. directly with banks for hedging imports and exports transactions . Annual review /renewal of company policy on forex management. Fixing of annual forex budget rates and preparation of MI file on forex management for reporting forex gain/loss on covered and Open exposure in compliance with company policy and RBI guidelines. Accounting of MTM on forward contracts/options and quarterly review of hedging effectiveness of the hedaina contracts. Circulation of daily MIM statement on forex exposure.
  • Experience in placing surplus funds in instruments like Bank Fixed Deposits, NBFC Deposits, mutual funds or any other option approved by Board. Preparation of daily cash management file to ensure optimum utilization of companys funds. Impairment testing of various investments made by company.
  • Experience in setting up of multi-user authorization matrixes on banking portals
  • Preparation of stock statement, QMR, HMR and CMA for submission to the banks.
  • Submission and compliance of documents/ information required by bank from time to time in connection with the credit facilities, covenant monitoring of loans.
  • Experience in handling trade transactions i.e imports and exports and ensure compliance of RBI Guidelines for submission of Bills of Entry and IDPMS closure.
  • - Forex management with good exposure size - Cash management - Import A1 and A2 payments - Working capital and term loans - Fundraising - Day-to-day banking operations
Functional Skills:
  • Work Exp in SAP HANA for accounting and report generation
  • Sound knowledge in IND AS particularly relating to financial instruments, impairment, borrowing costs
  • Excellent Excel, Power Point and MS word.
Preferred candidate profile
Industry Background:

- Exposure in a Manufacturing Industry, preferably auto component industry.

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