Job Description
ROLE OVERVIEW:
The role will support the organization’s treasury agenda across fund raising, liquidity management, liability planning, debt documentation, and capital market transactions. The incumbent will work closely with internal business and finance stakeholders, lenders, investors, rating agencies, trustees, legal teams, and other intermediaries to ensure timely execution of borrowing programs, prudent liquidity management, and robust treasury governance.
QUALIFICATION: Chartered Accountant and/or MBA (from Tier I insttitutes)
ESSENTIAL EXPERIENCE & EXPOSURE:
- Minimum 8 years of relevant experience in treasury, corporate finance, fund raising, or debt capital markets, preferably in an NBFC / bank / financial services / large corporate treasury environment.
- Working capital / term loans / NCDs / ECB / buyers’ credit / structured funding
- Liquidity plannin...
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