Senior Manager
Metrochem API Private Limited
5 - 10 years
Hyderabad
Posted: 10/12/2025
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Job Description
- Lead the daily cash position preparation and ensure accurate forecasting of cash requirements to support smooth business operations.
- Direct daily financing decisions, including funds transfers and approvals, ensuring optimal liquidity and compliance with internal controls.
- Oversee the preparation of short-term and long-term cash forecasts and proactively report fund requirements to senior management.
- Monitor all bank positions closely and execute foreign exchange (FX) deals to meet payment obligations and settle Letters of Credit (LCs).
- Manage trade finance activities by supervising trade facility limits, opening and settling import LCs, and coordinating with the Purchasing team for timely document clearance.
- Supervise daily cash flow reporting and ensure timely and accurate monthly bank reconciliations across all accounts.
- Review, track, and report all bank charges and trade finance utilization to optimize costs and ensure transparency.
- Maintain strong relationships with banks and financial institutions to support smooth treasury operations and timely supplier payments.
- Drive treasury-related cash flows by coordinating collections, cheque clearings, and ensuring liquidity targets are met.
Contact: Prasant Vadada, /
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