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Hiring companyDESRI

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Analyst – Treasury

Hyderabad, India Full-time On-site

About the role

DESRI, a market-leading owner and operator of renewable energy projects, seeks an Analyst to join its Hyderabad-based Treasury team. The role supports the portfolio of wind, solar, and battery assets by managing project-level debt facilities, coordinating cash flows, and driving Financial Planning and Analysis (FP&A). This position requires strong analytical skills to optimize liquidity and ensure covenant compliance within an agile, collaborative environment.

What you’ll do

  • Coordinate and administer cash payments and receipts for 80+ solar and wind projects
  • Forecast short-term and long-term cash positions at project and corporate levels
  • Track deal flow and plan for upcoming significant fundings
  • Identify and alleviate liquidity and covenant compliance concerns
  • Prepare periodic reports for financing parties and senior management
  • Develop and implement process improvements for treasury workflows
  • Support initiation, modeling, due diligence, and closing of corporate financing facilities
  • Optimize distributions and manage relationships with bankers and investors

What you’ll bring

  • MBA in Finance or Chartered Accountant (CA) degree
  • 6 months - 2 years experience in Treasury, Corporate Finance, FP&A, or Accounting
  • Proficiency in cash flow modeling and forecasting
  • Experience with Treasury management and debt facility administration

Nice to have

Prior experience in the renewable energy sector

Skills

Cash Flow ModelingTreasury ManagementDebt Facility AdministrationFinancial Planning AnalysisLiquidity OptimizationCovenant ComplianceStakeholder InfluenceAnalytical Problem Solving

Education

Master of Business Administration (MBA) in Finance or a Chartered Accountant (CA) degree.