company logo

Treasury Operations

Mumbai
Powai
Full-Time
Mid-Level: 2 to 4 years
9L - 13.5L (Per Year)
Posted on Nov 07 2024

About the Job

Skills

Treasury Management
Fund flow
Fund operations
Fund calculation
Fund Administration
cash flow

The position is within the Finance team of Private Equity. Reporting to the Manager, Capital Markets & Treasury of Company's Private Equity, the Senior Financial Analyst primarily focuses on supporting the treasury and capital markets operations including subscription facility and cash management, forecasting, analysis and financial reporting.

Responsibilities

  • Cash / Systems Function
  • Responsible for assisting with bank account maintenance, including the following:
  • Monitor bank accounts and identify those in overdraft and propose cash movements to clear the overdraft balances;
  • Assist with daily bank reconciliations within the Treasury Management System (“Quantum”) and appropriately match / designate cashflows for reporting purposes;
  • Investigate failed transactions or settlements to ensure appropriate adjustments are made during reconciliations.
  • Financial Risk Management & Operations
  • Actively maintaining and tracking debt facilities and their requirements to ensure compliance, including:
  • Drafting draw and repayment notices for the revolving credit facilities for both BBU and the Private Funds;
  • Performing interest recalculations and reconciling to statements provided by the various banks and investigating any differences.
  • Assisting with reviewing and analysing debt information submitted quarterly by the various Private Equity portfolio companies;
  • Preparing funds flows with a high degree of complexity and coordinate the preparation of associated legal documentation and steps memos;
  • Document and update Treasury Policies and Procedures relating to funds flow and cash management activities;
  • Support and execute ad-hoc requests or inquiries from senior management or other business groups.



Qualifications & Requirements

Must Have:

  • Recognized professional accounting designation (completion or near completion of CPA preferred);
  • Chartered Accountant with post qualification-2 – 5 years of progressive work experience in finance and/or accounting functions;
  • Strong financial systems experience, including advanced Excel;
  • Excellent attention to detail and accuracy;
  • Excellent analytical, and problem-solving ability;
  • Exemplifies the right motivation by aspiring to achieve collective goals;
  • Ability to work in a dynamic, complex, fast-paced environment, can manage changing priorities;
  • Superior communication skills (oral and written) and interpersonal skills;
  • Strong organizational skills and ability to multi-task, prioritize and meet deadlines;
  • Self-motivated and pro-active, with respect to both managing workload and professional development.








About the company

Covenant is a premier Executive Search and Recruitment Firm with 350+ Full-Time Recruitment Specialists with a proven track record of strong delivery across the globe. We are specialists in the arena of Human Capital unmatched in all metrics Head Hunting, Turnaround Time, Unceasing Availability, Cost-Effectiveness, Steadfast Quality of Service - provided by a team of Principal Consultants and Ana ...Show More

Industry

Management Consulting

Company Size

201-500 Employees

Headquarter

Chennai, Tamilnadu

Other open jobs from Covenant Consultants