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Greystar

Senior Treasury Manager

Early Applicant
  • 4 months ago
  • Be among the first 50 applicants

Job Description

This position will be based in India and report directly to the Director, Corporate Treasury Risk Management in the US. This position can be performed on a remote basis and will have exposure to Senior Management.

Qualifications: Advanced Degree in Finance, Accounting, Economics or Business; CTP required/ CPA preferred

Experience: 10+ years of Finance or Treasury experience

Required Knowledge

  1. Excellent communication skills in dealing with internal and external customers and businesses partners.
  2. Strong analytical, financial and systems skills are required including advanced spreadsheet and modeling skills.
  3. Understanding of Financial Markets.
  4. Self-motivated and attention to detail is a must.

Primary Responsibilities:

  1. UBO / KYC oversight across bank account portfolio.
  2. Work with Banking partners to issue Letters of Credit as required.
  3. Support the build out of the Greystar Global Investment Policy and management of ST Investments thereunder.
  4. Partner with Business Units to understand and analyze requirements of investors and equity partners as relates to cash diversification and investment.
  5. Other Treasury related activities as required.

Cash Management:

  • Optimize cash flow by efficiently managing working capital and liquidity.
  • Monitor and forecast cash positions to ensure adequate funds are available for day-to-day operations and strategic initiatives.
  • Implement initiatives to enhance cash visibility and liquidity management.

Relationship Management:

  • Build and maintain relationships with financial institutions, banks, and other relevant external partners.
  • Negotiate terms and conditions for banking services, credit facilities, and other treasury-related agreements.
  • Stay informed about industry best practices and emerging trends in treasury management.

Compliance and Reporting:

  • Ensure compliance with relevant financial regulations and reporting requirements.
  • Prepare and present comprehensive treasury reports to senior management, highlighting key performance indicators and risk metrics.
  • Work closely with internal and external auditors to facilitate smooth audits of treasury functions.

Strategic Planning:

  • Contribute to the development and execution of the company's overall financial strategy.
  • Collaborate with cross-functional teams to provide valuable insights and recommendations for strategic decision-making.
  • Participate in long-term financial planning and risk assessment activities.

Team Management

  • Manage a team of 8-10 Treasury professionals and provide coaching/mentorship.
  • Create high performing Treasury team.
  • Work with internal and external counterparts.
  • Work in US shift to ensure optimal collaboration.

More Info

Industry:Other

Function:Finance

Job Type:Permanent Job

Date Posted: 11/07/2024

Job ID: 84160377

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