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
- Excellent communication skills in dealing with internal and external customers and businesses partners.
- Strong analytical, financial and systems skills are required including advanced spreadsheet and modeling skills.
- Understanding of Financial Markets.
- Self-motivated and attention to detail is a must.
Primary Responsibilities:
- UBO / KYC oversight across bank account portfolio.
- Work with Banking partners to issue Letters of Credit as required.
- Support the build out of the Greystar Global Investment Policy and management of ST Investments thereunder.
- Partner with Business Units to understand and analyze requirements of investors and equity partners as relates to cash diversification and investment.
- 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.