Manager - Treasury – GIFT City ( Corporate Finance)
Location : GIFT City, Gandhinagar
Experience : 4–5 years
Qualification : CA or MBA (Finance)
Reporting To : Associate Director – Treasury
Company : IT Lagre Company
Role Overview :
Oversee the treasury operations of the GIFT City entity, including liquidity management, fund raising, Intercompany Loan, and FX hedging. The incumbent will also be responsible for monthly treasury accounting and reporting, and will lead a team of two junior professionals.
Key Responsibilities :
- Liquidity Management : Centralize pooling of surplus funds across group entities to optimize returns and reduce borrowing costs.
- Fundraising : Raise funds from banks and financial institutions within GIFT City to meet group financing needs.
- Intercompany Lending : Structure and manage credit facilities for group entities, ensuring optimal capital allocation.
- FX Risk Management : Execute hedging strategies to mitigate foreign exchange risks from global operations.
- Investment Management : Invest surplus funds in permitted instruments as per IFSCA guidelines.
- Acquisition Financing : Support financing for group acquisitions and potentially manage holding company functions.
- Treasury Accounting : Ensure accurate monthly accounting of treasury transactions including intercompany loans, investments, and FX hedges.
- MIS & Reporting : Prepare and review monthly treasury MIS reports for management and regulatory purposes.
- Team Leadership : Mentor and supervise junior team members, ensuring timely execution and compliance.
Skills & Competencies :
Strong understanding of treasury operations, banking products, and financial instruments.Experience in treasury accounting and MIS reporting.Excellent analytical, leadership, and communication skills.Familiarity with IFSCA regulations and the GIFT City framework.