11 Spinny Jobs
Spinny - Assistant Manager - Treasury (2-7 yrs)
Spinny
posted 2d ago
Fixed timing
Key skills for the job
Job Responsibilities:
1. Lender Acquisition and Relationship Management:
- Identify and establish relationships with new lenders to diversify funding sources.
- Negotiate terms and conditions with lenders to secure cost-effective financing.
- Maintain strong relationships with existing lenders, ensuring ongoing engagement and satisfaction.
2. Loan Disbursement and Documentation:
- Oversee the complete loan disbursement process, ensuring all documentation is accurate and complete.
- Collaborate with legal teams to manage and negotiate loan agreements and related legal documents.
- Ensure compliance with all regulatory and lender-specific requirements during the disbursement process.
3. Treasury Compliance:
- Ensure adherence to all regulatory requirements and internal policies related to treasury operations.
- Stay updated on changes in financial regulations affecting treasury activities and implement necessary adjustments.
- Prepare and present reports for Asset-Liability Committee (ALCO) and Board meetings.
4. Cash and Liquidity Management:
- Develop and implement strategies for effective cash flow and liquidity management.
- Plan for filling cash shortfall gaps and investing surplus funds.
- Monitor daily cash positions and forecast future cash requirements.
5. Monthly Lender Reporting and Covenant Compliance:
- Prepare and submit accurate and timely reports to lenders, including financial updates and compliance status.
- Monitor compliance with all loan covenants and proactively address any potential breaches.
- Liaise with credit rating agencies to maintain and improve the company & credit ratings.
6. Debt repayment management:
- Ensure timely and accurate processing of EMI payments and other debt servicing obligations.
- Manage day-to-day treasury activities, including cash flow management, fund projections, and liaison with relevant teams for fund requirements.
7. Process Optimization and Risk Management:
- Identify opportunities to enhance treasury operations and implement best practices.
- Establish and maintain robust internal controls to safeguard company assets.
- Manage end-to-end investment activities and compliance with investment policies.
Key Requirements:
- Bachelor or Master degree in Finance, Accounting, or a related field; CA/MBA (Finance) preferred.
- Proven track record in fundraising through diversified structures such as long- term loans, working capital, securitization, and NCDs.
- Strong understanding of loan documentation, legal terms, and regulatory compliance.
- Excellent analytical, negotiation, and relationship management skills.
- Proficiency in financial systems, treasury software, and advanced MS Excel.
-Ability to work under pressure and meet tight deadlines.
Functional Areas: Other
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