GR

Senior Accountant

GreyOrange
Gurgaon4-6 LPA Posted 27 Oct 2025
FULL TIME
Fund Management
Treasury Management
Cash Flow Forecasting

Job Description

Key Responsibilities:

  • Manage cash and liquidity through weekly cash flow planning and forecasting.
  • Oversee fund management across multiple countries; track group-level funds and ensure timely inter-entity transfers.
  • Manage credit lines with banks and lenders, including establishing governance structures for compliance.
  • Monitor and ensure compliance with credit line covenants, preparing necessary reports like stock reports and UFC certificates.
  • Convert foreign funds into local currencies (INR, SGD, EUR, CAD, USD).
  • Assess short-term and long-term funding needs and collaborate with Investor Relations for financing activities (loans, credit lines, private/public equity).
  • Utilize currency forward contracts from bankers as needed.
  • Invest idle funds in accordance with company investment policy.
  • Maintain and update bank approval matrix.
  • Prepare monthly schedules related to investments and security deposits.
  • Liaise with bankers for issuing Letters of Credit and Advance Bank Guarantees.

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