Job Description
Job Description
Job Summary:
\nResponsible for treasury operations, banking compliance, secretarial compliances, regulatory filings, and MIS reporting while ensuring adherence to statutory and corporate governance requirements. Supports treasury planning, audit coordination, and compliance monitoring through effective stakeholder management and reporting.
\nKey Responsibilities
\nTreasury Planning & Fund Management
\n- \n
- Monitor daily liquidity position and cash flow requirements. \n
- Maintain and review investment schedules (cost vs. market value tracking). \n
- Track deployment of surplus funds. \n
- Ensure adherence to treasury risk management framework. \n
Banking Operations & Financial Controls
\n- \n
- Coordinate with banks on authorized signatory updates and documentation. \n
- Manage banking compliance documentation and facility-related requirements. \n
- Maintain updated signatory records and board resolutions for banking purposes. \n
Secretarial & Corporate Governance Compliance
\n- \n
- Support in preparation of Board and Committee meeting agendas, explanatory notes, and draft minutes. \n
- Maintain statutory registers under the Companies Act. \n
- File annual returns and event-based MCA forms. \n
- Track compliance calendar for statutory obligations. \n
- Coordinate with Practicing Company Secretary for certification and secretarial audits. \n
Audit Coordination & Due Diligence Support
\n- \n
- Coordinate annual stock audits with banks. \n
- Compile required financial documentation for auditors. \n
- Support due diligence during financing or regulatory reviews. \n
- Prepare monthly treasury MIS, including investment performance. \n
- Provide analytical insights to management on treasury and compliance metrics. \n
Qualification
\n- \n
- CA Semi Qualified. \n
- CS qualification/intermediate will be an added advantage \n
Experience
\n- \n
- Fresher or 1 to 2 years of relevant experience \n
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