8.0 years

0 Lacs

Bandra, Maharashtra, India

Posted:1 day ago| Platform: Linkedin logo

Apply Now

Skills Required

excel design manufacturing installation maintenance sustainability support transactions payments flow management planning compliance coordination reconciliations resolve documentation reports finance tracking regulations shipping prioritization reporting forecast efficiency optimization audit audits controls drive automation integration erp processing sap oracle negotiation risk

Work Mode

On-site

Job Type

Full Time

Job Description

Company Description Rochem Separation Systems is a leading provider of water reuse solutions for industrial wastewater treatment since 1992. As the largest subsidiary of Concord Enviro Systems Limited, we operate globally with a presence in 5 continents and recycle 70 million liters of wastewater daily. Headquartered in India, we excel in Zero Liquid Discharge (ZLD) solutions and overall industrial water recycling. Our integrated services encompass design, manufacturing, installation, and maintenance, catering to a diverse array of industries such as pharmaceuticals, textiles, and oil & gas. Innovation and sustainability are at the heart of our mission to reduce water stress and support the circular economy. Role Description Responsible for managing day-to-day treasury operations, banking relationships, credit facilities, foreign exchange transactions, regulatory payments (including customs duties and MSME obligations), and ensuring efficient cash flow management across the organization. The role supports both operational liquidity and strategic fund planning in alignment with business requirements and compliance obligations. Key Responsibilities (KRAs) 1. Daily Cash Flow Management Monitor and manage daily fund position across all bank accounts Prepare daily and weekly cash flow forecasts in coordination with business and AP/AR teams Allocate funds for vendor payments, salaries, tax liabilities, and statutory dues 2. Banking Operations and Relationship Management Maintain strong working relationships with multiple banks Oversee day-to-day banking activities including RTGS/NEFT, online transactions, bank reconciliations Manage digital banking platforms and resolve transaction-level issues 3. Credit Facilities and Working Capital Management Monitor utilisation and renewal of working capital limits (CC, OD, WCDL, etc.) Liaise with banks for credit enhancement, interest rate negotiations, and documentation Ensure timely submission of stock statements, QIS reports, and covenant compliance 4. Foreign Exchange and Trade Finance Execute and track foreign currency payments and receipts Manage Letters of Credit (LC), Bank Guarantees (BG), and inward/outward remittances Monitor exchange rate trends and manage forex hedging where applicable Ensure accurate forex booking, MTM tracking, and compliance with FEMA regulations 5. Statutory and Regulatory Payments Manage timely payment of customs duties, import documentation, and shipping line payments Ensure compliance with MSME Act timelines and prioritization of vendor payments accordingly Support timely GST, TDS, and ROC-related payments through banking systems 6. Treasury Reporting and MIS Prepare weekly and monthly treasury dashboards including fund position, utilization, and forecast Track interest costs, bank charges, and fund efficiency KPIs Provide inputs to management on liquidity, funding gaps, and optimization opportunities 7. Audit and Compliance Support statutory and internal audits related to banking and treasury Ensure documentation and trails for all financial transactions, approvals, and external borrowings Maintain updated records of all loan agreements, LC/BG expiries, and regulatory submissions 8. Process Efficiency and Controls Drive automation in banking and treasury processes (host-to-host integration, ERP bank modules) Implement maker-checker controls for transaction processing Monitor internal SOP adherence and recommend improvements Candidate Profile Qualification - CA Experience - 8-10 years in treasury/banking, preferably in a listed manufacturing company Systems - Proficiency in ERP (SAP / Oracle / Microsoft Dynamics), online banking portals Skills - Strong understanding of cash flow, forex, credit structures, and compliance Soft Skills - Analytical mindset, negotiation, risk management, attention to detail Interested candidates can apply on rochem.recruitment@gmail.com or share your resume on +91-8657026744 Show more Show less

Mock Interview

Boost Confidence & Sharpen Skills

Start Excel Interview Now

RecommendedJobs for You