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Treasury

2-6 Years
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  • Posted 13 days ago
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Job Description

Responsibilities:

  • Product Expertise: Demonstrate a comprehensive understanding of various treasury products, including:
  • Foreign Exchange: Cash, Tom (Tomorrow), Spot, Forwards, and Long-Term FX (LTFX).
  • Derivatives: Options, Swaps, Caps, Floors, Forward Rate Agreements (FRAs), and Structured Derivatives.
  • Fixed Income: Government Securities.
  • Money Market: Call, Notice, Term Money, Repo, Reverse Repo, Commercial Papers, and Certificates of Deposits.
  • Deal Life Cycle Management: Possess thorough knowledge of all stages within a treasury deal life cycle, from deal execution, entry, and validation to confirmation, settlement, reconciliations, accounting, and limit monitoring.
  • Treasury Operations: Handle core treasury functions including treasury accounting, risk management, and internal controls to ensure compliance and financial integrity.
  • Fund and Custody Management: Contribute to the management of funds and custody arrangements, ensuring efficient and secure handling of assets.
  • Liquidity & Interest Rate Risk Management: Actively participate in the management of liquidity risk and interest rate risk, implementing strategies to mitigate exposure and optimize financial performance.
  • Stakeholder Engagement: Effectively manage relationships with various internal and external stakeholders, ensuring clear communication and collaborative problem-solving.
  • Documentation & Reporting: Assist with the preparation of deliverables and engagement documentation, ensuring accuracy and completeness.
  • Cross-functional Collaboration: Develop and maintain strong internal and external networks, working seamlessly with other service lines to provide integrated service delivery to clients.

Required Skills:

  • In-depth understanding of Foreign Exchange (Cash, Tom, Spot, Forwards, LTFX) and Derivatives (Options, Swaps, Caps, Floors, FRAs, Structured derivatives) products.
  • Comprehensive understanding of Fixed Income (Government Securities) and Money Market (Call/Notice/Term/Repo/Reverse repo/Commercial papers/Certificate of Deposits) products.
  • Thorough knowledge about various areas in a treasury deal life cycle (Deal execution, deal entry, deal validation, deal confirmation, settlement, reconciliations, accounting, Limit monitoring).
  • Experience in Treasury Accounting, Risk & Controls.
  • Knowledge of Fund and Custody management.
  • Understanding of Liquidity and Interest risk management.
  • Good communication skills (Writing, Listening, Presentation).
  • Advanced technical skills (MS Word, Excel, PowerPoint, Access).
  • Strong Stakeholder Management abilities.

More Info

Job Type:
Employment Type:
Open to candidates from:
Indian

About Company

We have a huge experience in recruitment for almost every industry from accounting to automobiles and from manufacturing to healthcare and IT. We strive to deliver excellence by understanding the necessity of our client and discovering true talent for them. "Optimizing performance" is what we constantly endeavor to deliver which not only helps us to hunt for the right talent in the market but also nurture a long term affiliation with our esteemed clients.

Job ID: 121880271