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Lead - Treasury Risk Management

Lead - Treasury Risk Management

Adani Enterprises
7-10 Years
Not Disclosed
  • Posted 8 hours ago
  • Be among the first 10 applicants

Job Description

Key Responsibilities:

Market & Economic Analysis

  • Track and analyze global markets, central bank actions, and macroeconomic indicators.
  • Prepare market intelligence reports and dashboards for senior treasury leadership.
  • Support identification of hedging and market opportunities to improve risk-adjusted outcomes.

Hedging & Financial Risk Management

  • Assist in the execution and monitoring of interest rate hedging strategies using swaps, and options.
  • Monitor hedge effectiveness and exposure limits, highlighting deviations and risks.
  • Support enhancement of risk measurement models and reporting frameworks.

Interest Rate Risk & Investment Support

  • Support interest rate risk analysis and implementation of approved hedging strategies.
  • Conduct analysis of fixed-income and credit investment opportunities, including yield, duration, and credit risk assessment.
  • Assist in portfolio monitoring and performance reporting.

ALM Analytics

  • Support Asset-Liability Management (ALM) analysis across assets and liabilities.

Compliance & Governance

  • Ensure adherence to RBI, FEMA, SEBI, and internal treasury policies.
  • Maintain audit-ready documentation, deal confirmations, and regulatory reporting.
  • Support internal and external audits, regulatory inspections, and compliance reviews.

Stakeholder Coordination

  • Coordinate with banks, brokers, exchanges, and internal finance teams for trade execution and settlements.
  • Support negotiations by preparing financial analysis and benchmarking data.
  • Act as a key point of contact for operational treasury and risk-related queries.

Process Optimization & Digital Enablement

  • Support automation initiatives in trade processing, exposure reporting, and risk analytics.
  • Improve data accuracy and timeliness through system enhancements and controls.
  • Contribute to continuous improvement initiatives and best-practice adoption within treasury operations.

Key Skills & Competencies

  • Strong understanding of FX, commodity, and interest rate risk concepts
  • Working knowledge of derivatives, hedging instruments, and fixed-income products
  • Familiarity with RBI, SEBI, FEMA regulations
  • Analytical mindset with proficiency in Excel, financial models, and treasury systems
  • Strong communication and stakeholder coordination skills
  • Detail-oriented with high standards of governance and controls

Qualifications & Experience

• CA / MBA (Finance) / CFA (or equivalent)

• 7-10 years of experience in treasury, risk management, markets, or corporate finance

• Exposure to hedging, market analysis preferred

More Info

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Key Skills

hedging strategies

Excel financial models

macroeconomic indicators

portfolio monitoring

market intelligence reports

credit risk assessment

risk measurement models

automation initiatives

audit-ready documentation

central bank actions

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