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Job Purpose:
Person will be responsible for error free processing of Interbank / Corporate Foreign Exchange / Derivative trades.
Key Accountabilities:
Job Duties & responsibilities:
Required Experience:
3-4 years experience in treasury & market operations of bank / corporate.
Education / Preferred Qualifications :
Graduation Degree. Professional qualifications like MBA(Finance) or FRM would be added advantage.
Core Competencies :
Technical Competencies :
Product and working knowledge of Treasury Products and operations.
Work Relationship :
Managed stakeholders across Operations, customers and business.
.
Job ID: 107941995
Skills:
sales acumen , Negotiation, Competitive Analysis, Lead conversion, Market research, Relationship management, Project management, Business development
Skills:
Liaisoning with Banks, syndication, Preparation of Information Memorandums, Restructuring, Project Finance Advisory, Project Reports, Financial Appraisal, Knowledge of RBI Guidelines, Refinancing, CMA Data Projections, Project Appraisal, Due Diligence, Financial Modelling, Debt Management
Skills:
Due Diligence, bid process management
Skills:
precedent transactions , Excel, lbo, Bloomberg, Sensitivity testing, capital iq, Merger multipliers, Cap tables, Valuation work, operating models, Risk Assessment, scenario analysis, comps, Due Diligence, Sum-of-the-parts analyses, Financial Modeling, factset
Skills:
trading operations , Dealer Terminal Operations, F O Trading, RMS Coordination, Equity Dealing, Client Relationship Management, Trade Monitoring, Capital Markets, Market Execution, Hni Client Handling
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