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AGM -Finance

Job Description - AGM -Finance

We are seeking an experienced finance professional with
12–15 years of experience from the Infrastructure, EPC, Construction, or
related project -based industries to lead corporate finance functions. The ideal
candidate should have strong expertise in fund management, banking
relationships, working capital optimization, debt management, foreign exchange
risk mitigation, and cash flow planning. The role requires close coordination
with internal stakeholders, banks, financial institutions, and external agencies
to ensure efficient financial operations and adequate liquidity for business
growth.

Key Responsibilities

Debt & Banking Operations

  • Manage
    term loans, including loan documentation, drawdowns, repayments, and
    compliance with lender covenants.
  • Handle
    Buyer’s Credit and External Commercial Borrowings (ECBs), ensuring
    regulatory compliance and timely execution.
  • Coordinate
    with banks and financial institutions for fund -based and non -fund -based
    facilities.
  • Maintain
    strong relationships with lenders and banking partners.

Trade Finance

  • Manage
    Letter of Credit (LC) operations, including Inland LCs and Foreign Letter
    of Credits (FLCs).
  • Ensure
    timely issuance, amendments, negotiations, and closure of trade finance
    instruments.
  • Support
    project and procurement teams in structuring trade finance solutions.

Foreign Exchange & Risk Management

  • Execute
    FX hedging strategies to minimize foreign exchange exposure.
  • Monitor
    currency risks and recommend appropriate hedging instruments.
  • Coordinate
    with banking partners for Forex transactions and regulatory compliance.

Insurance Management

  • Manage
    corporate insurance programs including project insurance, asset insurance,
    marine, transit, and liability policies.
  • Coordinate
    policy renewals, claims management, and risk assessments.
  • Liaise
    with insurers and brokers to ensure adequate risk coverage.

Compliance & Reporting

  • Ensure
    compliance with RBI guidelines, FEMA regulations, and banking requirements
    related to treasury operations.
  • Prepare
    treasury MIS, cash flow reports, debt schedules, and management
    dashboards.
  • Support
    statutory audits, internal audits, and lender information requirements.


Requirements

Desired Candidate Profile

  • Qualified
    CA / MBA (Finance) / Equivalent Finance qualification.
  • 12–15
    years of relevant experience in Infrastructure, Construction, EPC, or
    other project -driven organizations.
  • Strong
    expertise in:
    • Working
      Capital Management
    • Term
      Loans
    • Buyer's
      Credit
    • External
      Commercial Borrowings (ECBs)
    • Foreign
      Exchange (FX) Hedging
    • Letter
      of Credits (Inland & Foreign)
    • Cash
      Flow Forecasting
    • Corporate
      Insurance
  • Good
    understanding of treasury operations, banking products, and financial
    regulations.
  • Strong
    analytical, negotiation, stakeholder management, and communication skills.

Preferred Industry Background

  • Infrastructure
  • Construction
  • EPC
  • Engineering
    Projects
  • Industrial
    Projects
  • Capital -Intensive
    Manufacturing (Project -based businesses)


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