Job Description
Job Purpose and Scope
Develop and implement fund, cash and risk management policies, processes and
systems to effectively support the business by raising and deploying funds. Maintain relationships with financial institutes & credit rating agencies.
Key Accountabilities
Financial Planning and Advisory
Develop a fund raising and management plan for the business keeping in mind long and short-term fund requirements as per annual operating plan
Assess feasibility and viability of funding options to advise CFO on most effective options available in the market
Provide strategic financial advice on raising funds for CAPEX intensive growth drivers to ensure funds are available at the right time and rate for investments
Consolidate relevant intelligence on domestic and international business events, interest rate movements, competitor and stock performance highlights and provide analysis/ insights to support top team in prioritizing investment decisions
Cash Flow and Treasury Management
Drive treasury, cash management and processing operations to manage cash flow requirements and to ensure an effective mix of liquidity and return on investments
Maintain an effective balance between debt and liquid funds with best yield
Leverage capital effectively and ensure optimal capital allocation to support the growth and value maximization of business operations
Prepare Cash flow forecast and identify portfolio diversification opportunities keeping in mind the risk appetite and the size of liquid holdings
Develop cost and revenue models to determine financial viability, payback period, incremental costs, risks of proposed projects to assess impact on liquidity
Plan effective hedges to manage companyโs foreign currency exposures and interest rate risks for the efficient utilization of financial resources
Policies, Processes and Risk Management
Design policies & procedures for effective cash / fund management & provide advice to business users on cost of capital & fund deployment
Ensure all borrowings & allocations are in line with statutory norms & regulations
Develop, update and implement credit risk framework and policies, rating tools and supporting risk control systems, in order to achieve credit risk management objectives in an optimal structured manner
Adequate insurance covering risk of company
Education:
CA/MBA Finance
Experience:
12-15 years of work experience
Required Skill set & Experience
Deep understanding of the working of the regulatory and banking & financial sectors
Analytical mindset
Stakeholder and relationship management
Integrity and honorable behavior in business
Direct Reporting : Finance Controller
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Job Details
Posted Date:
December 17, 2025
Job Type:
Business
Location:
India
Company:
OmniActive Health Technologies
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.