Key Responsibilities
- Handle treasury and cash flow management activities.
- Perform multi-bank reconciliation and prepare MIS reports.
- Manage vendor and statutory payments, including MSME payments.
- Process import / export payments, LCs, BOE, and handle IDPMS / EDPMS / ORM systems.
- Monitor foreign currency exposure and perform hedging operations.
- Manage bank loans, overdrafts, guarantees documentation, and ensure compliance and SOP adherence.
Skills Required
Treasury Management, cash flow analysis , Bank Reconciliation, Mis Reporting