Job Description

Position Overview:

  • Managing day to day treasury operations. Ensuring compliance with banking and insurance-related requirements, handling forex exposures and supporting fund planning, investment, and insurance renewals for the company and group entities

Key Responsibilities:

  • Preparation of Cash Flow Plan vs. Actual; monitoring working capital and project CAPEX for fund requirements.
  • Monthly bank reconciliation and posting related treasury entries in ERP/SAP.
  • Coordination with group companies' treasury and secretarial team for timely promoter funding. Monitoring forex exposures, executing hedging strategies, and preparing related MIS reports.
  • Preparing and submitting necessary certificates, reports, and documents to banks as per compliance timelines.
  • Coordination with brokers for insurance quotes, renewals, policy bookings, declarations, and reconciliation of CD balances.
  • Preparat...

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