Location
Noida | India
Job description
Company Description
Avaada Group is a visionary energy conglomerate with a presence across the entire spectrum of the energy transition value chain, including the production of Solar Modules, Renewable Power Generation, and the development of large-scale projects for Green Hydrogen, Green Methanol, Green Ammonia, and Sustainable Aviation Fuel. Under the astute leadership of Mr. Vineet Mittal, the group has established itself as a significant player on the global energy stage. With its robust execution capabilities and a solid track record, Avaada has earned the trust of international investors, as evidenced by the equity raise of US $1.3 Billion in early 2023, including a US $1 Billion investment commitment from Brookfield's Energy Transition Fund and $300 million from GPSC, PTT Group of Thailand.
Desired Candidate Profile
- 5 to 10 years of work experience with background of capital markets, Sell side brokers (retail or NHI or institutional), treasury desks of corporates and family offices
- Understanding of annual reports and valuation
- Working knowledge of excel (incl. advance Excel) and other MS Office packages like analyzing datasets MS Power BI, PPT, Word Tables & Charts)
Role Description
This is a full-time on-site role for a Treasury Manager located in Noida. The Treasury Manager will conduct extensive quantitative and technical research analysis.
- Maintain up-to-date technical knowledge of Equity Markets
- Prepare and Maintain Database of various Indices and Stocks within each Indices
- Familiarity with quantitative tools for analysing indices and stocks along with various quantitative strategies
- Familiarity with various Technical indicators for analysing indices and stocks
- Perform research, analysis, and recommend stocks.
- Track, maintain database and analyse Research Analyst reports, operational performance, financial performance changes, Earnings changes, Sector reports from brokerage houses for the competing listed companies.
- Track and analyse the investor's portfolio, shareholding analysis.
- Understand funds flow analysis, high level performance indicators to capital markets.
- Maintain MIS, reports and presentations related to capital markets activities.
- Perform variance analysis between plans and actuals – quarterly, semi-annually and annually.
- Support management reviews with stakeholders for performance tracking against budget through reviews including commentary on financial as well as non-financial parameters
- Assist in other assignments as & when needed.
Qualifications
- Bachelors / Masters degree in Management / Accounting / Finance / Business Analytics / Economics / Capital Markets etc.
- Securities and Capital Markets especially Technical Certification from institutes like NCFM mandatory
- Strong analytical skills, accuracy and attention to detail is a must, Team player
Job tags
Salary