Helping clients in building a robust financial structure with right mix of capital structure involving both equity and debt considering the business environment, taxation structure, industry benchmarking standards and feasibility.
Helping clients in building a robust investment structure by using surplus funds available with the business, aligning management objectives with investment objectives, building investment policy, structuring investments in acceptable risk reward ratio, align investment policy with liquidity structure of the company and set up regular portfolio screening and reporting guidelines.
Helping clients in managing the their treasury framework by structuring cash management framework, cash pooling structure, working capital reassessment and alignment, assistance in deciding best suited trade financing options especially entities in export & import domain, setting up processes and policies for effective management of treasury operations.