Manager - Finance & Accounts (KEC_JR_0000816)
Date: 15 Jul 2025
Location: Mumbai, MH, IN, 400 036
Company: RPG Group
External Job Description
Responsibilities :-
- Monitoring and managing bank accounts and cash balances
- Managing, Analyzing and forecasting cash flow
- Working with banks to secure trade finance facilities
- Building and managing the Relationship with Banks
- Handling the SAP treasury module activity – its accounting and audit
- Managing the all-bank account and its operational activity
- Implementing and monitoring hedging strategies
- Ensuring compliance with relevant regulations and policies
- Developing and maintaining standard operating procedures (SOPs) for treasury and trade finance activities
Qualification : CA
Technical skills :
- Proficiency in managing daily banking transactions, cash positions, and fund transfers.
- Ability to prepare and analyze short-term and long-term cash flow projections.
- Hands-on experience in SAP treasury accounting, reporting, and audits.
- Understanding of financial derivatives and strategies for managing currency risks.
Functional skills :
- Development and implementation of SOPs to streamline treasury and trade finance operations.
- Identifying financial risks and ensuring appropriate control mechanisms.
- Ability to evaluate funding options, interest costs, and working capital efficiency.
- Competence in using ERP (SAP), Excel, and reporting dashboards for treasury activities.
Behavioral skills :
- Clear and good communication skills.
- Clear and professional interaction with banks, auditors, and internal teams.
- Quick resolution of operational or transactional issues in a dynamic environment.
Competencies
Commercial Acumen
Communicating Effectively
Cash Management
Knowledge of SAP
Growth Mindset
Result Orientation
Accounting and Reporting