Verified today
Analyst – Treasury
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
Education
Master of Business Administration (MBA) in Finance or a Chartered Accountant (CA) degree.