Roofsol Energy Pvt Ltd
Website:
roofsol.com
Job details:
JOB DESCRIPTION
Company: Roofsol Energy Pvt. Ltd.
Location: Mumbai – Head Office
Experience: 8–12 Years
Department: Finance
Reporting To: CFO
Role Overview
We are looking for an experienced Finance Manager to manage and coordinate the Company’s banking, treasury, debt and equity-related activities. The role will involve managing relationships with banks and financial institutions, coordinating debt and financing requirements, maintaining lender and investor documentation, supporting new loan and financing arrangements, and assisting management in preliminary activities related to potential listing/IPO readiness.
The role requires strong exposure to corporate finance, banking, debt management, financial documentation and stakeholder coordination, along with the ability to work closely with senior management, lenders, investors, consultants and internal teams.
Key Responsibilities
1. Banking & Treasury Management
· Coordinate with banks for fund-based and non-fund-based facilities, account operations, banking limits and related requirements.
· Coordinate with banks for documentation, confirmations, statements, certificates and other banking requirements.
· Ensure timely compliance with banking covenants, reporting requirements and facility conditions.
2. Debt & Financing Management
· Manage existing debt facilities, loans and other financing arrangements of the Company.
· Coordinate with lenders for new loans, working capital facilities, term loans, project finance and other financing requirements.
· Lead preliminary discussions and documentation for new debt/financing proposals.
· Coordinate with internal teams, banks, NBFCs, financial institutions and advisors for credit appraisal and financing processes.
· Monitor repayment schedules, interest obligations, security requirements and other debt-related commitments.
· Maintain comprehensive records of loan agreements, sanction letters, security documents and financing-related documentation.
3. Debt & Equity Provider Management
· Manage regular communication and coordination with existing and prospective debt and equity providers.
· Prepare and coordinate financial information, MIS, business updates and other information required by lenders and investors.
· Support management in discussions with investors, financial institutions and other capital providers.
· Maintain a structured database of financing, investor and stakeholder information.
4. Corporate Finance & Fundraising
· Support the management in evaluating various funding and financing opportunities.
· Assist in preparing financial information, funding proposals, business plans and financial projections for lenders and investors.
· Analyse financing structures, funding requirements and associated costs.
· Coordinate with external financial advisors, consultants, investment bankers and other professional advisors, as required.
· Support management in evaluating debt, equity and other strategic financing options.
5. Financial Reporting & Management Support
· Prepare and provide financial information and MIS required by senior management, lenders and investors.
· Support management with financial analysis, cash-flow projections and funding requirement analysis.
· Monitor key financial obligations and provide timely updates to management.
· Assist in financial planning, budgeting and forecasting related to funding and treasury requirements.
6. Compliance & Documentation
· Ensure timely completion and maintenance of financing, banking and corporate documentation.
· Coordinate with Legal, Secretarial, Audit and other relevant functions for financing and corporate finance matters.
· Maintain proper records of agreements, certificates, approvals, sanctions, securities and other finance-related documents.
· Ensure adherence to applicable financial, regulatory and contractual requirements.
Key Skills & Competencies
· Strong knowledge of corporate finance, treasury and banking operations.
· Experience in debt management, fundraising and financial institution coordination.
· Strong understanding of loan documentation, financing structures and banking facilities.
· Experience in managing relationships with banks, NBFCs, financial institutions and investors.
· Good financial analysis and cash-flow management skills.
· Strong documentation, negotiation and stakeholder management skills.
· Ability to coordinate with senior management and external professional advisors.
· Strong Excel and financial modelling skills.
· Good understanding of corporate finance and listing/IPO processes will be preferred.
· Strong communication, analytical and problem-solving abilities.
Educational Qualification
· CA / MBA (Finance) / PGDM (Finance) / equivalent qualification.
Experience
8–12 years of relevant experience in corporate finance, treasury, banking, debt management, fundraising or related finance functions.
Experience in solar, renewable energy, EPC, infrastructure, manufacturing or other project-driven industries will be an added advantage.
Ideal Candidate Profile
The ideal candidate should have strong hands-on experience in corporate finance, treasury, banking and debt management, with the maturity to independently coordinate with banks, lenders, investors, consultants and senior management. The candidate should be comfortable handling confidential financial information, complex documentation and multiple external stakeholders while working in a fast-growing business environment.
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