Aris Infra

Treasury Manager

Mumbai, MH, IN

3 days ago
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Summary

Company Overview: Aris Infra is a new-age material procurement and smart financing platform for infrastructure and construction companies. They provide a full-stack solution to customers, offering the best pricing, reliable supply, and flexible credits. Customers can purchase a wide range of unfinished and finished products from Aris Infra, including Cement, Steel, Ready Mix Concrete (RMC), Aggregates, Construction Chemicals, Electricals, and Paints.


Location - Mumbai


Key Responsibilities:

  1. Cash Flow Management: Monitor and manage the company's daily cash position, ensuring adequate liquidity for day-to-day operations.
  2. Cash Forecasting: Prepare and maintain short-term and long-term cash flow forecasts, working closely with various departments to understand cash needs.
  3. Working Capital Optimization: Identify opportunities to optimize working capital, including managing accounts receivable and accounts payable processes.
  4. Cash Flow Reporting: Develop and present regular cash flow reports to senior management, highlighting potential cash shortfalls or surpluses.
  5. Risk Management: Identify potential cash flow risks and recommend strategies to mitigate those risks, including the use of credit facilities or other financial instruments.
  6. Collaboration with the Finance Team: Work closely with the accounting and finance teams to ensure accurate record-keeping and financial reporting.
  7. Budgeting Support: Assist in the preparation of budgets and financial plans, providing insights into how cash flow can align with business objectives.
  8. Strategic Planning: Contribute to financial decision-making by providing insights into how cash flow can support or limit strategic initiatives.


Qualifications:

  1. Education: A CA qualification is a must & Bachelor’s degree in Finance, Accounting, Economics, or related field. A Master's degree or professional certifications (e.g., CA, CFA) is a plus.
  2. Experience: At least 6 years of experience in finance or accounting roles, with a focus on cash management or treasury functions.
  3. Technical Skills: Proficiency in financial modeling, forecasting, and financial software (e.g., Excel, ERP systems, cash management tools).
  4. Analytical Skills: Strong analytical abilities, with experience in interpreting financial data and making recommendations based on analysis.
  5. Communication Skills: Excellent written and verbal communication skills, with the ability to present complex financial data in a clear and understandable way to non-financial stakeholders.
  6. Attention to Detail: High attention to detail and accuracy, with a strong ability to spot discrepancies or issues in financial records.


Desired Skills:

  1. Experience with cash flow forecasting and treasury management systems.
  2. Ability to work independently and manage multiple priorities in a fast-paced environment.
  3. Strong problem-solving skills and the ability to make data-driven decisions.
  4. Knowledge of financial regulations and compliance requirements.
  5. Ability to work collaboratively with cross-functional teams.

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