Roles and Responsibilities
- Manage treasury operations, including cash flow forecasting, fund raising, investor relations, securitization, and working capital management.
- Oversee front end treasury activities such as deal origination, structuring, and execution of transactions.
- Ensure effective funds flow management by analyzing financial data to identify trends and opportunities for improvement.
- Develop strong relationships with stakeholders through regular communication and reporting.
Desired Candidate Profile
8-13 years of experience in Treasury Management or related field (Real Estate industry preferred).Strong understanding of Front End Treasury, Fund Raising, Investor Relations, Funds Flow Management, Securitization & Working Capital Management concepts.Excellent analytical skills with ability to interpret complex financial data.Proven track record of successfully managing multiple projects simultaneously while meeting deadlines.Skills Required
Treasury Operations, Cash Flow Forecasting, Fund Raising, Working Capital Management