capital-structure-jobs-in-bangalore, Bangalore

7 Capital Structure Jobs nearby Bangalore

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posted 2 weeks ago
experience5 to 8 Yrs
Salary8 - 10 LPA
location
Bangalore, Mohali
skills
  • banking
  • infrastructure
  • payments
  • payment
Job Description
Subject Matter Expert TreasuryJob Category: TreasuryJob Type: Full TimeJob Location: BangaloreMohaliSalary: 8-10LPAYears of Experience: 5-8yrsLinkedInFacebookTwitterEmailWhatsAppCopy LinkShareKey ResponsibilitiesBanking & Payment Infrastructureo Standardize bank account structures and support multi-bank setups for globalflexibility.o Define and maintain Service Level Agreements (SLAs) for payment processingtimelines. Treasury Transformation & Standardizationo Standardize global treasury workflows and processes to ensure consistencyand efficiency across regions.o Develop, implement, and update Standard Operating Procedures (SOPs) forall treasury functions.Cash & Liquidity Managemento Enhance visibility and accountability for liquidity movements globally.o Monitor and ensure working capital availability across geographies whilereducing borrowing costs.o Provide actionable insights on liquidity and funding positions to supportstrategic decision-making.Treasury Automation & Systems Integrationo Lead the automation of treasury reporting and real-time dashboards.o Oversee integration with ERP systems (SAP/Xero) and ensure bankingstatements are accurately loaded.o Introduce multi-level payment approvals (maker-checker mechanism) forsecure and efficient processing.Risk Management & Complianceo Develop and monitor a global FX and interest rate risk managementframework.o Ensure compliance with local and international regulations (e.g., FEMA,OFAC).o Implement and maintain robust controls to guarantee accurate and timelyvendor, payroll, and compliance-related payments. Key Skills & CompetenciesStrong expertise in cash and liquidity management, global banking, andintercompany funding.Knowledge of treasury systems, ERP integration (SAP/Xero), and automation tools.Proficiency in FX and interest rate risk management.Strong analytical skills with the ability to design dashboards and Excel reporting. Qualifications & ExperienceMasters degree in finance, Accounting, or a related field (MBA or CFA is preferred).58 years of progressive treasury or corporate finance experience; at least 46 yearsin a global/strategic treasury role.Proven track record in global treasury operations and transformation projects.Experience working with international banks, cash pooling structures, andautomated payment processes.Strong understanding of financial regulations and compliance requirements.  
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posted 2 weeks ago

Mis Executive

Orbitouch Outsourcing Private Limited
experience3 to 8 Yrs
Salary1.5 - 4.5 LPA
location
Bangalore, Hyderabad+1

Hyderabad, Pune

skills
  • sops
  • mis reports
  • operations
  • technical
Job Description
Urgent Hiring for MIS Executive (Hyderabad, Bangalore, Pune)  Job Description: Junior Executive / Senior Executive - MIS & Business Operations (Telecom & Infrastructure)Position: Junior Executive / Senior Executive - MIS & Business Operations Industry: Telecom /Transmission/ Solar / Industrial InfrastructureDepartment: Civil / Structural EngineeringExperience: 3 - 5 YearsLocation: Hyderabad, Bangalore, PuneCTC: 3.60 LPA - 5.40LPA  Job Summary We are seeking a dynamic and analytical MIS Executive/Sr, Executive to oversee and refine our business operations and drive strategic expansion. The ideal candidate will be the linchpin between our technical operations, client management, and business development efforts. You will be responsible for developing robust MIS, policies, and systems to manage our PAN India portfolio of telecom towers, solar structures, and other industrial assets, ensuring operational excellence and identifying new avenues for growth. Key Responsibilities Management Information Systems (MIS) & Operational Governance: Design, implement, and manage comprehensive MIS dashboards and reports to monitor PAN India operations. Analyse operational data to identify trends, inefficiencies, and opportunities for improvement. Establish and enforce standard operating procedures (SOPs) and policies for all operational verticals. Technical Operations & Asset Management: Oversee and systematize the management of key technical functions through team leads and circle leads: Technical Audits: Schedule and manage structural and safety audits for towers and infrastructure. Reverse Engineering: Develop processes for analysing and documenting existing structures for upgrade and reinforcement projects. Tower Strengthening & Maintenance: Implement a proactive maintenance and structural upgrade regime to ensure 100% asset integrity and compliance. Client Interaction & Business Development: Serve as a key point of contact for clients, ensuring their requirements are met and expectations are exceeded. Analyse operational data and client feedback to identify opportunities for service improvement and business expansion. Actively support the tendering department by providing technical insights, cost analysis, and operational data for bidding on new projects. Strategic Expansion & Development: Leverage deep industry experience to identify new market opportunities in Telecom Infrastructure, Solar, Railways, and Industrial Structures. Collaborate with the leadership team to develop strategies for PAN India business growth and market penetration. Use data-driven insights from the MIS to make recommendations for capital investment and resource allocation. Team Leadership & Coordination: Provide guidance and oversight to Team Leads and Circle Leads across India. Ensure seamless communication and coordination between the central operations team and on-ground circle teams. Required Qualifications & Experience A bachelors degree in Engineering (Civil, Mechanical, Electrical) or a related field. An MBA would be a distinct advantage. 5+ years of relevant experience in operations, MIS, or business development within the telecom infrastructure (tower industry), solar power structures, railway infrastructure, or heavy industrial structures sector. Proven experience in developing and managing MIS (e.g., using Power BI, Tableau, Advanced Excel) for large-scale, PAN India operations. Demonstrable knowledge of technical processes including structural audits, tower maintenance, reverse engineering, and strengthening projects. Strong experience in client-facing roles and a proven track record of contributing to business growth. Excellent understanding of the tendering process in the relevant industries. Desired Skills & Competencies Strategic Thinker: Ability to see the big picture and translate operational data into business strategy. Analytical & Problem-Solver: Expert in data analysis with a keen eye for identifying root causes and implementing effective solutions. Excellent Communicator: Strong verbal and written communication skills for effective client interaction and team management. Leadership & Influence: Ability to lead and coordinate teams indirectly across a decentralized PAN India structure. Proactive & Results-Oriented: A self-starter who takes initiative and is driven to achieve and exceed targets  // Interested Candidates can share there CV on Mail or What's app for Shortlisting // Thanks & regards.Manshi Agnihotri (HR)Mob-+91-9266128961Manshi@orbitouch-hr.com  
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posted 2 days ago

Finance Controller

CONSULTBAE INDIA PRIVATE LIMITED
experience2 to 7 Yrs
Salary9 - 20 LPA
location
Bangalore
skills
  • finance
  • forecasting
  • financial analysis
  • gst
  • budgeting
  • variance analysis
  • taxation
  • chartered accountant
Job Description
Job Title: Finance ControllerLocation: Bangalore (On-site)Experience: 3-5 YearsQualification: Chartered Accountant (CA) About the Role:We are looking for a dynamic and detail-oriented Finance Controller to join our fast-growing startup. As a key member of the leadership team, you will manage the financial health of the organization, ensure statutory compliance, and support fundraising initiatives. Key Responsibilities:Oversee the entire finance function, including budgeting, forecasting, and variance analysis.Manage and ensure accurate financial reporting, MIS, and compliance with accounting standards.-Lead preparation and review of monthly, quarterly, and annual financial statements.-Ensure compliance with direct and indirect taxes, regulatory filings, and audits.-Support and collaborate on equity and debt fundraising activities, including investor reporting and due diligence.-Manage working capital, cash flow planning, and treasury operations.-Work with cross-functional teams to optimize cost structures and ensure financial discipline.-Build and lead a small finance team as the company scales. Requirements:-Chartered Accountant (CA) with 3-5 years of post-qualification experience.-Prior experience in startups or high-growth environments preferred.-Strong command over Indian GAAP, financial reporting, and tax compliance.-Hands-on experience with accounting tools and ERP systems (e.g., Tally, Zoho,QuickBooks).-Excellent analytical, leadership, and communication skills. -Proven ability to manage fundraising support processes (valuation models, investor decks, datarooms). Why Join Us:-Be part of a fast-paced, innovative startup environment.-Opportunity to shape and lead the finance function from the ground up.-Work closely with founders and investors on strategic growth initiatives.
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posted 2 months ago
experience8 to 12 Yrs
location
Bangalore, Karnataka
skills
  • Business Development
  • Client Acquisition
  • Market Intelligence
  • Relationship Management
  • Financial Structuring
  • Advisory
  • Investment Banking
  • Capital Markets
  • Market Trends
  • Financial Insights
  • Transaction Execution
  • Real Estate Finance
  • Analytical Capabilities
  • Regulatory Frameworks
  • Leadership Presence
Job Description
You are invited to join our team as a dynamic and experienced finance professional in Bangalore's real estate ecosystem. In this high-impact middle management role, you will be instrumental in driving business development and transaction execution for fund-raising, M&A, and debt advisory mandates. **Key Responsibilities:** - **Business Development & Client Acquisition** - Identify and secure new business opportunities in fund raising, M&A, and debt advisory. - Utilize your strong network with senior management of leading Bangalore-based real estate developers. - Act as a trusted advisor to clients, offering strategic financial insights and innovative solutions. - **Transaction Execution** - Lead end-to-end execution of capital market mandates, including deal origination, structuring, due diligence, and closure. - Coordinate with internal teams, clients, investors, and external stakeholders for seamless execution. - **Market Intelligence & Strategy** - Monitor market trends, investor appetite, and sectoral developments to identify emerging opportunities and risks. - Provide strategic inputs to shape the firm's positioning in the real estate finance domain. - **Relationship Management** - Build and nurture long-term relationships with developers, investors, financial institutions, and advisors. - Represent the firm as a subject matter expert in industry events and forums. - **Financial Structuring & Advisory** - Design innovative and customized financial structures to create value and mitigate risk. - Evaluate capital-raising alternatives and develop optimal strategies aligned with client objectives. **Educational Qualifications:** - CA / MBA (Finance) / CFA - mandatory. - Additional certifications in Real Estate Finance or Investment Banking will be an advantage. **Desired Experience:** - Minimum 8 years of strong experience in real estate finance, investment banking, or capital markets. - Proven track record in fund raising, debt syndication, M&A transactions, or structured finance. - Well-established network within the Bangalore real estate developer and investor community. **Key Skills & Attributes:** - Strong financial acumen and analytical capabilities. - Excellent relationship management, communication, and negotiation skills. - Strategic thinker with a solution-oriented mindset. - Sound understanding of regulatory frameworks and market trends. - Leadership presence and ability to work in a fast-paced, entrepreneurial setup. **Why MGB:** Join us at MGB and experience: - **Innovative Environment:** Be part of a team that's always ahead of the curve, embracing new ideas and technologies. - **Impactful Work:** Engage in projects that create a tangible impact on the Bangalore real estate market and beyond. - **Growth Opportunities:** Your professional development is our priority - grow with us as we expand and reach new heights. - **Collaborative Culture:** Work in a supportive and collaborative environment where your contributions are valued and recognized.,
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posted 2 months ago
experience8 to 12 Yrs
location
Bangalore, Karnataka
skills
  • SAP Treasury
  • SAP Finance Controlling FICO
  • SAP S4HANA Finance
  • SAP Analytics Cloud
  • SAP MMSD integration
Job Description
Role Overview: As an SAP FICO Manager at S&C GN, your primary responsibility will be to lead the design, implementation, and optimization of SAP Finance and Controlling solutions. You will collaborate with senior stakeholders to ensure alignment of FICO processes with organizational strategy, focusing on driving financial efficiency, compliance, and business decision-making. Your role will involve delivering measurable business impact through digital finance transformation and process excellence. Key Responsibilities: - Lead end-to-end SAP FICO implementations, upgrades, and transformation initiatives, aligning with financial KPIs such as P&L accuracy, working capital, and cost optimization. - Partner with finance, procurement, and operations teams to translate strategic financial objectives into executable SAP FICO processes and solutions. - Drive business impact by improving reporting accuracy, reducing month-end closing time, and optimizing cost structures. - Define and optimize controlling and financial planning processes to enable better decision-making and cost transparency. - Provide strategic guidance on integration with MM, SD, and other operational systems for seamless financial data flow. - Establish change management and governance frameworks to ensure adoption of FICO-enabled benefits. - Mentor and lead consulting teams to deliver high-quality solutions and build internal finance transformation capability. Qualifications Required: - Minimum 8 years of experience in SAP FICO. - Educational qualification: B.Tech/MBA (Preferred: Finance/Accounting specialization). - Strong ability to design and implement finance and controlling processes with measurable KPIs. - Knowledge of SAP S/4HANA Finance and legacy systems (ECC) for integration and migration programs. - Experience in advanced analytics, financial reporting, and process optimization. - Proven success in stakeholder management, leadership, and large-scale finance transformation programs. (Note: Any additional details of the company were not explicitly mentioned in the provided job description),
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posted 2 months ago
experience6 to 10 Yrs
location
Bangalore, Karnataka
skills
  • Fund Accounting
  • Investor Relations
  • NAV calculations
  • Capital calls
  • Tax reporting
  • AI adoption
  • US partnership accounting
  • Fund financial statements
  • Distributions
  • Audit process
  • KYCAML procedures
Job Description
Role Overview: As the Fund Accounting Senior Lead at Redesign Health, you will play a crucial role in managing the complex accounting for various US investment funds, enhancing investor relations processes, and supporting the valuation function. You will be responsible for driving the adoption of AI in fund administration functions and leading an AI-native function as the company expands its International funds. Reporting to the Controller, you will collaborate closely with the Redesign Health Strategy & Finance and Legal teams. Key Responsibilities: - Develop and manage end-to-end fund accounting processes, including performing and booking fund accounting entries, preparing quarterly Net Asset Value (NAV) packages, and overseeing bank and trial balance reconciliations. - Lead the transformation of fund administration processes to be AI-native. - Manage capital call and distribution processes, including notice preparation, investor communications, coordinating with legal counsel, and overseeing fund flows. - Oversee fund investor relations and reporting, handling ad hoc investor requests and preparing Quarterly and Annual Partners Capital statements. - Manage the annual audit process for applicable funds, prepare comprehensive packages, and liaise with external auditors and fund administrators. - Support capitalization table management, tax compliance, and reporting obligations for the funds. Qualifications Required: - Must have a CA or CPA (or equivalent license) with a Bachelors degree in Accounting, Finance, or related field. - Demonstrated track record of adopting and promoting AI use cases. - 6+ years of experience in fund accounting and administration in professional services, private equity, venture capital, or hedge funds. - Strong understanding of US partnership accounting and complex fund structures. - Experience in core fund processes such as capital calls, distributions, NAV calculations, and fund financial statements. - Experience in supporting external fund audits and managing relationships with auditors and administrators. Additional Company Details: Redesign Health is dedicated to launching AI-native healthcare ventures that revolutionize care delivery. AI is deeply embedded in all operations, enabling the team to focus on complex challenges at the intersection of human ingenuity and artificial intelligence. As part of the company, you will have the opportunity to explore new ways of working, experiment constantly, and push the boundaries of what's possible in healthcare innovation.,
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posted 2 months ago

Credit Analyst - Arbitrage Desk

People Realm Recruitment Services Private Limited
experience2 to 6 Yrs
location
Bangalore, Karnataka
skills
  • Credit Analysis
  • Financial Modeling
  • Valuation
  • Investment Research
  • Financial Analysis
  • Market Research
  • Written Communication
  • Verbal Communication
  • Covenant Analysis
  • Portfolio Monitoring
Job Description
Role Overview: You will be joining a leading quant-forward discretionary investment management firm as a Credit Analyst in the Investment Research & Analytics team. This role will involve conducting deep fundamental credit analysis in both public and private credit markets, contributing to investment strategies across various asset classes, and collaborating with senior researchers to support portfolio decisions. Key Responsibilities: - Conduct in-depth fundamental credit analysis of issuers, considering factors such as capital structure, covenants, and cash flow assessments. - Develop and maintain dynamic financial models including three-statement forecasting, scenario analysis, and recovery modeling. - Prepare clear and concise investment memos, relative value assessments, and recommendations for portfolio decisions. - Monitor existing portfolio positions and update models based on earnings, event-driven developments, and market shifts. - Identify early warning signals and risk factors at company, sector, and macro levels. - Contribute to thematic and sectoral research reports on emerging trends, market dislocations, and special situations. - Collaborate with investment teams to integrate advanced analytics, automation, and AI-enabled insights into research workflows. Qualification Required: - You should have 2-5 years of experience in credit research, investment banking, or asset management. - A strong academic background with a preference for CFA, CPA, or MBA in Finance. - Proficiency in financial modeling, valuation, and covenant analysis. - Familiarity with high yield, distressed, and investment grade markets. - Excellent written and verbal communication skills with the ability to synthesize complex analysis into actionable insights. - Self-driven, intellectually curious, and comfortable working in a fast-paced, collaborative, and technology-driven environment.,
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posted 2 months ago
experience3 to 7 Yrs
location
Karnataka
skills
  • Python
  • C
  • Data Structures
  • Algorithms
  • Product Knowledge
  • Statistics
  • Interpersonal Skills
  • Communication Skills
  • Machine Learning
  • MultiThreading
  • GPU
  • MPI
  • Data Analysis
  • Numpy
  • Scipy
  • Stochastic Calculus
  • HTML
  • ObjectOriented Design
  • Agile Development Practices
  • Quantitative Skills
  • ProblemSolving Skills
  • Research Skills
  • Probability Theory
  • Statistical Techniques
  • Options Pricing Theory
  • Trading Algorithms
  • Financial Regulations
  • HPC Technologies
  • Pandas
  • FrontEnd Technologies
  • React
Job Description
As a Quant Modelling Vice President in the QR Markets Capital (QRMC) team, you will play a crucial role in implementing the next generation risk analytics platform. The main goal of the QRMC team is to construct models and infrastructure for managing Market Risk, including Value at Risk (VAR), Stress, and Fundamental Review of the Trading Book (FRTB). The QRMC team in India will support QRMC group's activities globally, collaborating closely with Front Office and Market Risk functions to create tools and utilities for model development and risk management. Your responsibilities will include: - Working on implementing the next generation risk analytics platform - Evaluating model performance - Conducting back testing analysis and P&L attribution - Enhancing the performance and scalability of analytics algorithms - Developing mathematical models for VaR/Stress/FRTB - Assessing the adequacy of quantitative models and associated risks - Designing efficient numerical algorithms - Creating software frameworks for analytics delivery to systems and applications To qualify for this role, you should: - Hold an advanced degree (PhD, MSc, B.Tech or equivalent) in Engineering, Mathematics, Physics, Computer Science, or related fields - Have at least 3 years of relevant experience in Python and/or C++ - Possess proficiency in data structures, standard algorithms, and object-oriented design - Have a basic understanding of product knowledge across various asset classes such as Credit, Rates, Equities, Commodities, FX & SPG - Be interested in applying agile development practices - Demonstrate strong quantitative and problem-solving skills, research skills, knowledge of basic mathematics like statistics and probability theory - Have good interpersonal and communication skills, and the ability to work in a team - Possess attention to detail and adaptability Preferred qualifications include: - Experience with statistical and/or machine learning techniques in the financial industry - Knowledge of options pricing theory, trading algorithms, or financial regulations - Experience with multi-threading, GPU, MPI, grid, or other HPC technologies - Excellent knowledge of data analysis tools in Python like Pandas, Numpy, Scipy - Familiarity with advanced mathematics such as stochastic calculus - Understanding of front-end technologies like HTML, React, and integration with large data sets,
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posted 3 weeks ago
experience10 to 14 Yrs
location
Karnataka
skills
  • Planning
  • Primavera P6
  • MS Project
  • Power BI
  • Communication
  • Stakeholder management
  • Resource planning
  • Manpower planning
  • Earned Value Management
  • Risk evaluation
  • Reporting
  • Project documentation
  • Data visualization
  • Project Controls
  • PMO roles
  • EVMbased reporting
  • Engineering project lifecycles
  • Project scheduling
  • control
  • Cost estimation
  • variance analysis
  • Risk management
  • contingency planning
  • PMO governance
  • performance reporting
  • Data analytics
  • dashboarding
  • Attention to detail
  • Cost breakdown structures
  • Cost trend analyses
  • Project Controls framework
  • Risk register
  • PMO Governance
  • Compliance standards
  • Change requests tracking
  • PMO tools automation
Job Description
As an Engineering Services Associate Manager at Accenture, your role is to ensure effective governance, control, and performance management across projects through integrated planning, scheduling, costing, and reporting systems. You will drive project excellence by supporting the PMO function with robust project control mechanisms, cost optimization, and strategic insights. **Key Responsibilities:** - Enough experience in Project Controls, Planning, or PMO roles within the Power, Utilities, or Infrastructure sectors. - Proven experience with Primavera P6, MS Project, and EVM-based reporting. - Strong understanding of engineering project lifecycles (EPC, utility projects, or capital programs). - Project scheduling and control - Cost estimation and variance analysis - Risk management and contingency planning - PMO governance and performance reporting - Data analytics and dashboarding (Power BI preferred) - Strong communication and stakeholder management skills - Attention to detail and ability to work across multiple projects **Roles and Responsibilities:** 1. **Project Planning & Scheduling** - Develop and maintain integrated project schedules using Primavera P6 / MS Project. - Define project baselines, monitor progress, and identify variances or delays. - Coordinate with engineering, procurement, construction, and commissioning teams for real-time schedule updates. - Conduct critical path analysis (CPA) and provide mitigation plans for slippages. - Support resource and manpower planning in line with project timelines. 2. **Cost Estimation & Control** - Prepare detailed CAPEX and OPEX budgets, cost breakdown structures, and forecasts. - Track project expenditures against approved budgets and report deviations. - Perform Earned Value Management (EVM) to assess cost and schedule performance. - Work closely with procurement and finance teams for cost benchmarking and control. - Generate cost trend analyses and recommend cost-optimization strategies. 3. **Project Controls & Risk Management** - Implement and maintain the Project Controls framework including schedule, cost, and scope control. - Identify and evaluate project risks, maintain a risk register, and propose mitigation actions. - Support contingency planning and risk-based decision-making for project delivery. - Ensure all project documentation, change requests, and approvals are properly tracked and recorded. 4. **PMO Governance & Reporting** - Support the PMO in establishing project governance frameworks and compliance standards. - Prepare and present monthly dashboards and executive summaries on project KPIs (schedule, cost, risks, milestones). - Standardize reporting templates, project documentation, and lessons-learned processes. - Facilitate cross-project coordination and portfolio-level reporting. - Drive automation of PMO tools, dashboards, and data visualization using Power BI / Excel / Primavera Analytics. You are required to have a BE/BTech/Master of Engineering degree with 10 to 14 years of experience in the specified areas.,
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posted 1 month ago
experience7 to 11 Yrs
location
Karnataka
skills
  • Corporate Finance
  • Fund Raising
  • Capital Markets
  • Financial Instruments
  • Financial Modeling
  • Liquidity Management
  • Communication Skills
  • Negotiation Skills
  • Analytical Skills
  • Fundraising Strategies
  • Debt Structuring
  • Legal
  • Financial Structures
Job Description
As a candidate for the position, you will be responsible for the following key responsibilities: - Developing and executing debt funding strategies aligned with the company's financial goals and objectives. - Leading in the structuring, pricing, and execution of debt transactions such as bonds, loans, and credit facilities. - Building and managing relationships with banks, financial institutions, and investors. - Leading discussions with banks, internal stakeholders, and other relevant parties for the closure of loan documentation to ensure timely disbursement. - Monitoring and managing the company's cash flow to meet liquidity requirements while balancing short-term and long-term capital needs. - Ensuring compliance with all relevant regulations and reporting requirements in debt transactions. - Managing external credit rating agencies on an ongoing basis. - Ensuring accurate accounting of book entries in ERP related to the debt portfolio. Qualifications required for this role include: - CA/MBA with a finance background. - At least 7-8 years of experience in Corporate Finance with a focus on Fund Raising. - Strong knowledge of capital markets, financial instruments, and fundraising strategies. - Successful track record of closing debt raising transactions in India. - Experience with financial modeling, debt structuring, and liquidity management. - Good understanding of legal and financial structures. - Complete knowledge of debt deal life cycles. - Excellent communication and negotiation skills. - Strong analytical skills and attention to detail. No additional details of the company were provided in the job description.,
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posted 1 month ago
experience3 to 7 Yrs
location
Karnataka
skills
  • Python
  • C
  • Data Structures
  • Algorithms
  • Object Oriented Design
  • Product Knowledge
  • Statistics
  • Interpersonal Skills
  • Communication Skills
  • Machine Learning
  • Multithreading
  • GPU
  • MPI
  • Data Analysis
  • Numpy
  • Scipy
  • Stochastic Calculus
  • HTML
  • Agile Development Practices
  • Probability Theory
  • Statistical Techniques
  • Options Pricing Theory
  • Trading Algorithms
  • Financial Regulations
  • HPC Technologies
  • Pandas
  • Frontend Technologies
  • React
Job Description
As a Quant Modelling Vice President in QR Markets Capital (QRMC) team's team, you will play a pivotal role by implementing the next generation of risk analytics platform. The QR Markets Capital (QRMC) team's mission is to build the models and infrastructure used for the risk management of Market Risk such as of Value at Risk(VAR)/Stress/ Fundamental Review of the Trading Book( FRTB). The QRMC team in India will therefore play a critical role and support the activities of QRMC group globally. We also work closely with Front Office and Market Risk functions to develop tools and utilities for model development and risk management purposes. - Work on the implementation of the next generation of risk analytics platform; - Assess model performance, perform back testing analysis and P&L attribution; - Improve performance and scalability of analytics algorithms; - Develop and enhance mathematical models for VaR/Stress/FRTB; - Assess the appropriateness of quantitative models and their limitations, identifying and monitoring the associated model risk; - Design efficient numerical algorithms and implementing high performance computing solutions; - Design and develop software frameworks for analytics and their delivery to systems and applications. - Advanced degree (PhD, MSc, B.Tech or equivalent) in Engineering, Mathematics, Physics, Computer Science, etc.; - 3+ years of relevant experience in Python and/or C++ along with proficiency in data structures, standard algorithms and object oriented design; - Basic understanding of product knowledge across a range of asset classes Credit, Rates, Equities, Commodities, FX & SPG; - Interest in applying agile development practices; - Demonstrated quantitative and problem-solving skills as well as research skills; - Understanding of basic mathematics such as statistics, probability theory; - Demonstrated good interpersonal and communication skills, ability to work in a group; - Attention to detail and easily adaptable. - Experience applying statistical and/or machine learning techniques in the financial industry; - Knowledge of options pricing theory, trading algorithms or financial regulations; - Experience using multi-threading, GPU, MPI, grid, or other HPC technologies is a plus; - Excellent knowledge on data analysis tools in python like Pandas, Numpy, Scipy etc; - Knowledge of advanced mathematics such as stochastic calculus; - Knowledge of front-end technologies like HTML, React and integration with large data sets.,
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posted 2 months ago
experience3 to 7 Yrs
location
Karnataka
skills
  • Performance Improvement
  • Change Management
  • Organizational Design
  • Project Management
  • Market Research
  • Competitor Analysis
  • Project Management
  • Human Capital Due Diligence
  • Operations Due Diligence
  • Financial Data Analysis
  • HR Concepts
Job Description
Role Overview: As an Associate in the M&A Strategy team at PwC, you will play a crucial role in assisting clients with Mergers & Acquisitions (M&A) transactions. Your responsibilities will include supporting clients in maximizing value by addressing complex transformational challenges throughout the deal lifecycle, encompassing pre-deal and post-deal activities. Key Responsibilities: - Conduct Human Capital Due Diligence during the pre-deal phase to analyze HR operations, evaluate potential merger synergies, identify standalone improvement opportunities, and assess risks. - Utilize industry and functional expertise to identify performance enhancement opportunities that can elevate value for the client. - Assess the efficiency, effectiveness, and scalability of HR operations within the target company as part of Operations Due Diligence. - Provide advisory services post-deal for extensive integrations and intricate divestitures, including overseeing Integration Management and Separation Management. - Contribute to Change Management, Culture, & Communications efforts by developing change management strategies, integrating cultural similarities, and creating comprehensive communication plans. - Evaluate current organizational structures, assess key talent, and aid in shaping the target operating model through Organizational Design. - Collaborate with global project teams to address M&A-related challenges, analyze financial data, devise work plans, manage stakeholders, and offer transaction recommendations. - Engage in activities related to business development, thought leadership, and firm building to tackle complex business issues spanning strategy to execution. Qualifications Required: - Proficiency in primary functional areas such as sales & marketing, supply chain, R&D, finance, IT, and HR. - Strong capabilities in handling, analyzing, and interpreting quantitative and qualitative data, understanding market & industry research, competitor analysis, and benchmarking. - Prior experience in consulting or M&A-related domains. - Thorough understanding of HR concepts and principles. - Proficient project management skills for facilitating organizational change, managing company integrations, handling employee communications, and driving HR transformation initiatives. (Note: Additional details provided in the job description have been omitted as they do not contain any relevant information for the job description.),
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posted 1 week ago
experience7 to 11 Yrs
location
Karnataka
skills
  • Stakeholder management
  • Treasury operations
  • Communication
  • Trade finance structures
  • ERPTMS platforms
  • Banking systems
Job Description
Role Overview: You will be supporting the Treasury function by coordinating with banks, managing loan and trade structures, and ensuring the operational execution of treasury strategies. Your main responsibility will be to work closely with internal stakeholders and the back office to ensure smooth treasury operations and compliance. Key Responsibilities: - Coordinating with banks for trade facilities drawdowns in coordination with Operation, Business, Central Treasury, and Finance; take them to the bank as and when needed. - Liaising with banks for facility documentation, renewals, and transitions from unsecured to secured structures. - Ensuring compliance with documentary requirements under trade finance facilities. - Supporting in covenant management and relationship handling with financial institutions. - Working with input from the back office to manage daily liquidity decisions. - Ensuring correct recognition of trade facilities in financial statements. - Monitoring debt schedules and supporting refinancing and capital structure optimization. - Monitoring cash balances and ensuring it is either invested in deposits, MF or business else, arrange the repatriation. - Coordinating with internal teams (Finance, Business Controllers, Operations) for data inputs, trade documentation, and reporting. - Supporting treasury calls and funding decisions based on consolidated data. - Assisting in Kyriba implementation and banking structure optimization. - Recommending operational improvements to enhance treasury efficiency. Qualifications Required: - 7-10 years" experience - Strong stakeholder management, understanding of trade finance structures, and experience in treasury operations. - Strong understanding of trade finance, loan structures, and treasury operations. - Proficiency in ERP/TMS platforms and banking systems. - Excellent communication and stakeholder management skills. - Strategic thinking with operational execution capability.,
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posted 7 days ago
experience3 to 7 Yrs
location
Karnataka
skills
  • HTML5
  • CSS3
  • JavaScript
  • SASS
  • Design Patterns
  • Data Structures
  • Algorithms
  • Software Design
  • Analytical Skills
  • Communication Skills
  • VueJS
  • Typescript
  • ReactJS
  • Tailwind CSS
  • Frontend Tooling
  • Deployment Practices
  • Debugging Skills
Job Description
As a Software Development Engineer II (Frontend) at Hiver, you will play a pivotal role in shaping the technical landscape, influencing the product roadmap, and guiding the team while contributing to the vibrant company culture. With the customer base expanding rapidly and processing over 5 million emails daily for thousands of active users, you will be at the forefront of creating and enhancing the user experience. In this role, you will lead and mentor a team of highly skilled engineers while providing critical technical direction to the front-end development efforts. You will also have the exciting opportunity to tackle intricate technical challenges, including optimizing the architecture to handle the surging email volume and establishing a framework to monitor and enhance the performance of the front-end systems. **Key Responsibilities:** - Building and maintaining interactive and responsive frontend systems across various form factors. You will own all aspects of front-end development from coding to deploying. - Building next-generation web applications with high reusability. This is the early phase of the project, and you will do foundational work on multiple aspects. - Helping define and improve engineering standards, tooling, and processes. - Collaborating closely with designers and other stakeholders to build dynamic and compelling user experiences while embracing emerging standards. **Qualifications Required:** - 3+ years of hands-on experience building frontend systems. - Proficiency in Web Fundamentals - HTML5, CSS3 & JavaScript, VueJS(Version 2/3) & Typescript. - Candidates with ReactJS are preferred. - Experience with SASS / Tailwind CSS is required. - Sound knowledge of design patterns and best practices for writing clean, linted, maintainable, and reusable code. - Solid foundation in Computer Science, with strong competencies in data structures, algorithms, and software design. - Strong know-how and experience with frontend tooling and best deployment practices are required. - An architect's mindset - the ability to assess various trade-offs when considering long-term vs. short-term benefits/drawbacks and make informed choices about the optimal approach. - Strong analytical and debugging skills - ability to troubleshoot and solve issues in a timely manner. - Ability to iterate and deliver at a fast pace, as speed is essential. - Good communication skills - proficiency in English and the ability to communicate effectively with team members and stakeholders both in written and verbal forms. At Hiver, we obsess about being world-class at everything we do. Our product is loved by our customers, our content engages a wide audience, our customer service is highly rated in the industry, and our sales team is driven about doing right by our customers as they are by hitting their numbers. Hiver is used by thousands of teams at some of the best-known companies in the world to provide attentive, empathetic, and human service to their customers at scale. We are profitably run and are backed by notable investors. K1 Capital led our most recent round of $27 million, and before that, we raised from Kalaari Capital, Kae Capital, and Citrix Startup Accelerator.,
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posted 2 months ago
experience7 to 11 Yrs
location
Karnataka
skills
  • Fund Accounting
  • Investor Reporting
  • Financial Reporting
  • Regulatory Reporting
  • Cash Management
  • Financial Modelling
  • IFRS
  • US GAAP
  • Private Equity
  • Venture Capital
  • Asset Management
  • Team Management
  • Analytical Skills
  • Excel
  • PowerPoint
  • Risk Management
  • Bank Reconciliations
  • Performance Fee Calculations
  • Investment Valuations
  • Lux GAAP
Job Description
As a Fund Accounting Manager- PQE, your role will primarily involve the following responsibilities: - Lead and support the oversight and delivery of the monthly/quarterly financial, investor, and regulatory reporting. - Support the annual financial statement review and manage the audit process, ensuring team delivery in line with KPIs. - Interact with Fund Administrators to ensure accuracy and timeliness of financial and investor reporting. - Review monthly bank reconciliations and invoices in adherence with firm-wide and Fund-specific policies. - Assist in monitoring compliance of the Fund LPA and side letter agreements. - Lead designated Fund cash and liquidity management, review performance fee calculations, and formulate responses to investor queries. - Support in developing processes and controls in India COE and lead ad-hoc projects for continuous improvement. - Oversee a team of up to 6 Fund Accountants, providing direction, guidance, and training. Key Requirements/ Qualifications: - CA, ACCA, CPA, CMA, or masters degree in finance/accounting/business with at least 10+ PQE in Fund Administration, Private Equity & Venture Capital, or asset management. - Proven experience in Private Equity/Alternative Asset Industry of 7+ years with strong knowledge of private fund structures and reporting requirements. - Advanced Excel skills, ability to meet deadlines, solve problems analytically, and manage a team effectively. - Desirable qualifications include strong technical knowledge of IFRS, US GAAP, Lux GAAP, understanding of financial instruments, carry structures, and waterfalls. Personal Attributes: - Highly driven, motivated, and a formidable team player with leadership skills. - Excellent time management, organizational skills, and communication abilities. - Desirable attributes include a technical mindset, positive attitude, ability to deliver under pressure, and a commercial approach to tasks. Please let me know if you need more information or clarification.,
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posted 1 week ago
experience5 to 9 Yrs
location
Karnataka
skills
  • financial modeling
  • risk analysis
  • capital markets
  • credit risk modelling
  • credit risk assessment
  • international financing structures
Job Description
As an Associate in the Project Risk & Credit Solutions team at Sustainability Economics, your role will involve focusing on risk mitigation strategies, credit enhancement mechanisms, and bankability improvements for large-scale infrastructure projects such as AI data centers, clean energy, and sustainable infrastructure. You will be responsible for designing and implementing solutions like guarantees, insurance wraps, blended finance, securitization, and innovative credit structures to attract investors and lenders into projects. Your key tasks and accountabilities will include: - Identifying and analyzing risks across the project lifecycle including construction, operational, market, offtake, and regulatory risks. - Proposing and structuring credit enhancement mechanisms such as guarantees, insurance covers, liquidity facilities, or subordinated tranches. - Understanding all stakeholders involved in the issuance of instruments and analyzing potential risks associated with specific instruments issuance. - Designing structures to improve creditworthiness and rating of project vehicles. - Evaluating blended finance opportunities like concessional capital, guarantees, and green bonds. - Conducting stress testing and scenario modeling to measure the impact of risk mitigants. - Evaluating and interpreting credit ratings from major agencies and understanding their impact on investment decisions. Qualifications required for this role include: - Bachelor's degree in finance, Economics, Law, or Engineering; MBA, CFA, or FRM preferred. - 4-8 years of experience in project finance, credit risk, structured finance, or infrastructure advisory. - Climate-specific financial instruments knowledge is a plus. - Familiarity with credit enhancement tools such as guarantees, wraps, insurance, and blended finance. - Prior exposure to energy, infrastructure, or data center projects desirable. - Strong financial modeling and risk analysis capabilities. Skills that will be beneficial for this role include: - Understanding of credit risk modeling and expertise in credit risk assessment. - Knowledge of international financing structures and capital markets. As part of our team at Sustainability Economics, you can expect a flat hierarchy, ESOPs, group medical coverage, and a gender-neutral parental, marriage, and compassionate leave policy. If you are a self-motivated team player with excellent time management skills and a passion for sustainability, we welcome you to join us in our pursuit for sustainability!,
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posted 7 days ago
experience7 to 11 Yrs
location
Karnataka
skills
  • Underwriting
  • Credit Analysis
  • Securitization
  • Financial Analysis
  • Risk Management
  • Communication Skills
  • Deal Structuring
  • Credit Evaluation
  • Risk Assessment
  • Mentoring
  • Structured Credit
  • LOCs
  • Portfolio Monitoring
  • Credit Underwriting Infrastructure
  • Global Credit Policy
  • Risk Guidelines
  • Reporting Structures
  • Governance Process
  • Credit Lifecycle Management
  • Credit Business Development
  • Credit Covenants
  • Exposure Limits
  • Market Caps
  • Portfolio Performance Tracking
  • Credit Infrastructure
  • Global Coordination
  • Solutionoriented mindset
Job Description
Role Overview: You will be stepping into a senior global credit leadership role that involves combining Credit Business Development on a global scale and Underwriting & Risk Leadership. This position will require you to handle the complete credit lifecycle which includes sourcing, underwriting, deal structuring, negotiation, IC approval, disbursement, and monitoring. Ideal for someone who can manage global founders, investors, and partners while contributing to building Qiro's global credit engine from scratch. Key Responsibilities: - Global Credit Business Development (BD) - Source fintechs, lenders, NBFCs, PSPs, and credit-heavy businesses across various markets including USA, UK, EU, SG, UAE, LATAM, and emerging markets. - Conduct CXO-level conversations, identify high-quality borrowers, and convert them into Qiro partners. - Drive the end-to-end lifecycle process including lead generation, qualification, underwriting, structuring, term sheet creation, negotiations, and deal closures. - Underwriting & Deal Structuring - Underwrite fintechs/lenders using global best practices by analyzing financials, risk models, bank statements, cohorts, and loan book metrics. - Structure facilities such as Committed / Uncommitted LOCs, Term Loans, Bullet + revolving structures, DA/PTC/True Sale securitization, and SPV-based structured credit deals. - Develop rating models, scorecards, risk matrices, and early-warning frameworks. - Global Risk Management - Establish credit covenants, exposure limits, market caps, and monitoring cadence. - Evaluate concentration risks across geographies, lenders, and asset classes. - Continuously monitor portfolio performance and highlight weak accounts. - Build & Lead Qiro's Credit Infrastructure - Formulate global credit policy, underwriting frameworks, risk guidelines, and reporting structures. - Provide guidance to junior underwriting analysts. - Collaborate with legal, tech, partnerships, operations, and external service providers. - Represent Qiro in global calls with ecosystems, RWA partners, and stablecoin funds. Qualification Required: - 7-10 years of underwriting experience in fintechs or financial institutions across India and global markets, with a preference for experience in USA, UK, EU, SG, UAE. - Proficiency in credit analysis, structured credit, securitization, LOCs, and portfolio monitoring. - Preferred certifications include CFA, CA, FRM, or MBA-Finance. - Excellent communication skills to engage with global founders, CFOs, and credit teams. - Advantageous to have experience in both underwriting and BD/deal origination. - Comfortable working in Bangalore office, handling global time zones, and adapting to startup-level agility. - Capacity to manage heavy workloads with a solution-oriented approach and a mindset focused on outcomes. Additional Company Details (if present): Qiro is an on-chain private credit marketplace that utilizes enterprise-grade credit underwriting infrastructure to serve fintechs and lenders in developed markets like the USA, UK, EU, Singapore, and UAE, as well as emerging markets. Qiro partners with various entities like Stablecoin funds, Crypto credit & RWA funds, On-chain private credit protocols, RWA ecosystems & L1/L2 chains, to facilitate transparent, real-world yield through institutional-grade underwriting practices. The company aims to bridge global fintech credit demand with stablecoin capital using data-driven underwriting processes.,
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posted 2 weeks ago

Workday Director - HCM

PwC Acceleration Center India
experience17 to 21 Yrs
location
Karnataka
skills
  • solutions
  • Lead in line with our values
  • brand
  • Develop new ideas
  • structures drive thought leadership
  • Solve problems by exploring multiple angles
  • using creativity
  • encouraging others to do the same
  • Balance longterm
  • shortterm
  • detailoriented
  • big picture thinking
  • Make strategic choices
  • drive change by addressing systemlevel enablers
  • Promote technological advances
  • creating an environment where people
  • technology thrive together
  • Identify gaps in the market
  • convert opportunities to success for the Firm
  • Adhere to
  • enforce professional
  • technical standards eg refe
Job Description
Job Description: At PwC, the business application consulting team specializes in providing consulting services for a variety of business applications to help clients optimize operational efficiency. You will analyze client needs, implement software solutions, and provide training and support for seamless integration and utilization of business applications. Similarly, in the Workday human capital team, you will focus on consulting services for Workday human capital management (HCM) applications. Your role will involve analyzing client requirements, implementing HCM software solutions, and providing training and support for the integration and utilization of Workday HCM applications. By working in this area, you will assist clients in optimizing their human resources processes, enhancing talent management, and achieving their strategic objectives. Responsibilities: - Lead the strategic execution of innovative Workday solutions - Establish the vision for the Workday practice and drive growth initiatives - Foster a culture of mentorship and collaboration within the team - Shape the future of Workday delivery in alignment with PwC's values - Make impactful decisions that enhance customer experiences - Build and develop the practice from the ground up - Uphold adherence to quality standards and established practices - Collaborate with stakeholders to identify and address client needs Qualification Required: - Bachelor's Degree - 17 years of experience - Oral and written proficiency in English required Additional Company Details: Translating the vision, you will set the tone and inspire others to follow. Your role is crucial in driving business growth, shaping the direction of client engagements, and mentoring the next generation of leaders. You are expected to be a guardian of PwC's reputation, understanding that quality, integrity, inclusion, and a commercial mindset are all foundational to success. You create a healthy working environment while maximizing client satisfaction. You cultivate the potential in others and actively team across the PwC Network, understanding tradeoffs, and leveraging collective strength. Skills: - Lead in line with our values and brand - Develop new ideas, solutions, and structures; drive thought leadership - Solve problems by exploring multiple angles and using creativity, encouraging others to do the same - Balance long-term, short-term, detail-oriented, and big picture thinking - Make strategic choices and drive change by addressing system-level enablers - Promote technological advances, creating an environment where people and technology thrive together - Identify gaps in the market and convert opportunities to success for the Firm - Adhere to and enforce professional and technical standards (e.g. refer to specific PwC tax and audit guidance), the Firm's code of conduct, and independence requirements,
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posted 2 months ago
experience6 to 10 Yrs
location
Karnataka
skills
  • Financial risk management
  • Cash flow forecasting
  • Bank relationship management
  • Governance
  • Hedge accounting
  • MS Word
  • MS Access
  • Treasury organizational structure
  • transformation
  • Cash
  • liquidity management
  • Treasury technology
  • International treasury center
  • Debt
  • investment management
  • controls
  • regulation
  • MA support
  • IFRSs for financial instruments
  • MS Office MS Excel
  • MS Power Point
Job Description
Role Overview: At EY, you will be a part of the Assurance FAAS Treasury team, where you will have the opportunity to build a unique career with global scale, support, inclusive culture, and technology to become the best version of yourself. Your role will involve providing subject matter expertise in accounting and finance operations related to treasury activities, managing financial risk, developing cash management strategies, and implementing hedge strategies. You will also be responsible for engagement planning, budgeting, execution, and developing creative solutions to help clients achieve their treasury and business objectives. Key Responsibilities: - Impart extensive knowledge and expertise in accounting and finance operations related to treasury activities - Oversee Cash Flow Forecasting and manage financial risk in treasury operations - Develop and implement cash management operational strategies - Implement hedge strategies and have hands-on expertise in corporate/bank treasury processes - Manage engagement planning, budgeting, and execution - Ensure products/deliverables meet contract/work plan specifications and deadlines - Develop tools and methodologies for project delivery - Contribute to the development and management of relationships with external and internal clients - Participate in meetings and interviews with client treasury personnel - Identify improvement opportunities to optimize processes, decrease costs, and increase client value Qualifications Required: - Minimum 6 years of relevant experience in Audit and/or Consulting within the Banking sector, including expertise in the latest IFRS developments - Knowledge of financial reporting, consolidation, accounting methodology, and controlling department for financial institutions - Bachelor or Master's degree complemented with a further relevant professional education (e.g., Chartered Accountant, CPA, or ACCA) - Advanced skills and experience in Treasury organizational structure, financial risk management, cash flow forecasting, cash and liquidity management, bank relationship management, and more - Proactive, flexible, and team-oriented with good communication skills in English - Knowledge of IFRSs for financial instruments and MS Office applications - Analytical mindset, critical thinking, and willingness to work in a fast-paced and international environment Additional Details: EY is dedicated to building a better working world by creating new value for clients, people, society, and the planet, while fostering trust in capital markets. With a focus on data, AI, and advanced technology, EY teams help clients shape the future with confidence and address pressing issues of today and tomorrow. Operating across assurance, consulting, tax, strategy, and transactions services, EY teams leverage sector insights, a globally connected network, and diverse ecosystem partners to provide services in over 150 countries and territories.,
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posted 2 months ago
experience6 to 10 Yrs
location
Karnataka
skills
  • Banking Operations
  • Capital Markets
  • Analytical Skills
  • MS Excel
  • Interpersonal Skills
  • Treasury Working Capital Management
  • Financial Reporting Compliance
  • Investment Capital Structure Oversight
  • Documentation Reporting
  • Corporate Banking Operations
  • Treasury Tools
  • Financial Acumen
  • ERP Systems
  • Stakeholder Relationships
Job Description
As a Banking & Treasury Specialist at our company, you will play a crucial role in overseeing banking operations, working capital management, treasury strategy, and financial compliance to support business growth effectively. Your responsibilities will include: - **Treasury & Working Capital Management:** - Monitor daily cash positions to ensure adequate liquidity. - Optimize working capital by forecasting cash flow and aligning fund utilization with project requirements. - Track and manage investment capital structures to support ongoing initiatives. - Lead capital raising efforts by preparing financial models, documentation, and engaging stakeholders. - **Banking Operations:** - Liaise with banks for account operations, credit facilities, and negotiations. - Negotiate banking terms, interest rates, and service fees to optimize costs. - **Financial Reporting & Compliance:** - Prepare and submit monthly compliance documents such as stock statements and utilization reports. - Coordinate with auditors and banks for stock audits to ensure accuracy. - Ensure all treasury operations align with regulatory requirements and internal policies. - **Investment & Capital Structure Oversight:** - Develop and monitor the company's capital structure strategy for growth and cost optimization. - Evaluate short-term investment opportunities to maximize returns while preserving liquidity. - Make risk-adjusted investment decisions in line with company objectives. - **Documentation & Reporting:** - Maintain accurate records of all treasury and banking transactions. - Prepare MIS reports on fund flow, bank positions, and compliance metrics. - Support audits by providing necessary documentation and data. **Qualifications:** - **Education & Experience:** - Bachelor's degree in Finance, Commerce, or Accounting (MBA/CA preferred). - Minimum 5-7 years of experience in treasury, banking, and fund management roles. - Demonstrated success in fundraising, working capital optimization, and banking negotiations. - **Skills & Competencies:** - Strong knowledge of corporate banking operations, treasury tools, and capital markets. - Excellent financial acumen and analytical skills. - Proficiency in ERP systems (Tally, Zoho, or equivalent) and advanced MS Excel. - Strong interpersonal skills and ability to manage stakeholder relationships. **Behavioral Fit:** - High integrity, proactive mindset, and attention to detail. - Strong communication and negotiation skills. - Alignment with Zyeta's core values: Respect, Equality, Innovation, and Freedom with Responsibility.,
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