Asst. Manager - Treasury
Date: 07-Mar-2023
Location: Gurgaon
Company: TATA SIA Airlines Limited
Job Overview
This role would include day to day banking operations and daily cash flows.
Key Responsibilities
- Day to Day banking operations
- Daily Cashflow management, investments (FD/Mutual Funds)
- Foreign currency accounts and FX exposure management
- Currency hedging with counterparties and MTM working
- Fuel hedging, MTM management & regulatory reporting with respective AD banks
- Passing entries for Loan, investments, FX & fuel hedge in SAP
- Calculation of Interest workings and reconciliation of interest and TDS receivable
- Bank account operation and regular compliance to KYC documents
- Bank reconciliation statements and reconciliation in SAP system
- Managing daily fund transfers within bank accounts
- Monthly treasury dashboards, MTM reporting
- Monthly ECB reporting and related requirements
- Preparation of cash flow statements and tracking of daily payments
- Provide strong banking and treasury support to the accounting team
- Calculation of Interest workings and reconciliation of interest and TDS receivable
- Processing the Bank Guarantee (BG) from various bank’s and related documentation
- Preparation of various expense schedule related to treasury expenses
- Coordinate with auditors for conducting effective and smooth audits
Skills & Attributes
- Regulatory Compliance – FEMA, RBI, Import & Export.
- Knowledge of various foreign currency – USD, SGD, GBP,EURO etc
- Preparing documentation for submission to banks and other stakeholders
- Communication- Verbal, written & presentation skills
- Making MIS and reports for regulatory submissions
- Work along with cross-functional teams including Accounts, Legal, tax engineering team
Work Experience
- Minimum 4 years of experience working in a corporate treasury with banking experience
Qualification
- Graduate from a recognized university
Location
- Gurgaon
Note
- All Vistara employees are required to be fully vaccinated against COVID-19