Posted:3 days ago| Platform: Linkedin logo

Apply

Work Mode

On-site

Job Type

Full Time

Job Description

J.K. Fenner (India) Limited is looking for a Treasury Specialist - Chennai


Who we are

J.K. Fenner (India) Limited is a part of the renowned JK Organization. We have been an undisputed market leader in India for over 70 years. Complete solution in Power Transmission, Sealing and Vibration Control to both Automotive and Industrial Automation. We are pleased to announce that JK Fenner is currently seeking experienced professionals to join our dynamic team. As a leader in the industry, we are committed to fostering a culture of innovation, collaboration, and growth. To learn more, visit: https://jkfenner.com/


Why don't you join us? Do you want to experience new challenges and innovate the future of Automotive and Industrial Automation Solutions? Accelerate your career with JK Fenner.


Position Details


Role :

Location :

Education :

Experience :

Technical Skills :

Soft Skills :



Cash and Liquidity Management:

  • Oversee daily cash management, positioning, and reconciliation activities to ensure optimal liquidity.
  • Develop and manage short-term and long-term cash flow forecasts and budgets.
  • Identify opportunities to optimize cash balances and manage intercompany cash.
  • Drive initiatives to improve working capital management across the business.

Risk Management:

  • Identify, monitor, and mitigate financial risks, including foreign exchange (FX), interest rate, and credit risks.
  • Develop and implement effective hedging strategies to mitigate currency fluctuations.
  • Ensure compliance with internal policies and external regulations related to financial risk.

Banking and Financial Relationships:

  • Manage and maintain relationships with banks and financial institutions, negotiating terms, fees, and credit lines.
  • Oversee bank account administration, including opening, closing, and updating signatory authorities.
  • Collaborate with internal audit to ensure strong governance and proper documentation.

Investment and Debt Management:

  • Manage the organization's debt portfolio, ensuring covenant compliance and providing analysis on capital structure.
  • Oversee the investment of excess cash, aiming to maximize returns within the company's risk tolerance.
  • Recommend investment opportunities and financing strategies to senior management.

Reporting and Analysis:

  • Prepare and present financial reports, forecasts, and budgets to senior management and other stakeholders.
  • Conduct financial analysis to provide insights and support strategic decision-making.
  • Support internal and external audits by providing necessary documentation and information.


Join us and be part of a forward-thinking organization dedicated to excellence.

Mock Interview

Practice Video Interview with JobPe AI

Start Job-Specific Interview
cta

Start Your Job Search Today

Browse through a variety of job opportunities tailored to your skills and preferences. Filter by location, experience, salary, and more to find your perfect fit.

Job Application AI Bot

Job Application AI Bot

Apply to 20+ Portals in one click

Download Now

Download the Mobile App

Instantly access job listings, apply easily, and track applications.

coding practice

Enhance Your Skills

Practice coding challenges to boost your skills

Start Practicing Now

RecommendedJobs for You