Lead - Treasury Risk Management
Lead - Treasury Risk Management
Adani Enterprises- 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
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
