loader

Z-2281 | AM / DM/ MANAGER / SM - Mid Office Treasury


Industry : Other

Sub Department : Treasury

Department : Finance & Accounts

: New Prabhadevi Road

: Mumbai

: India

: 10 - 15.5 p.a (INR Lacs)

: 0 - 7 Year

Job Preference :

1. Manager/Senior Manager - with experience of 5 to 7 years

2. Assistant/Deputy Manager - with experience of 0 to 2 years

SM - 15.50

Job Description :

 

Job Profile / Responsibilities

  • Evaluation of fund requirement and surplus liquidity.
  •  Identify cost-saving and profit maximizing opportunities related to treasury.
  •  Ensure compliance with internal controls, policies and procedures in day-to-day conduct and supervision of cash management activities.
  • Reporting, including daily, weekly, and monthly assessments of interest rate exposure, VaR, and MTM.
  •  Able to handle investor queries for Axis Finance issuances.
  • Assist in managing and maintaining company’s banking infrastructure, including bank and brokerage relationships & processing payments for treasury partners.
  • Manage data requirements of various stakeholders viz. lenders, investors, rating agencies & regulators, etc.
  • Support treasury and cash management and helps develop strategies to maximize efficiencies and minimize costs.
  • Support Treasury front desk with various data and MIS for strategy formulation.
  •  Assessment of foreign exchange risk, Interest Rate risk and update the same to team via periodic MIS.
  • Collaborate with professionals from different departments to identify opportunities for process optimization and automation, aimed at delivering more accurate and timely results while enhancing overall efficiency.
  • Collaborate with individuals from Treasury, Risk management and Finance to define reporting requisites, perform analysis, and produce reports to proactively detect and manage risk associated with portfolios and products.
  • Monitoring documentation for all the Treasury transactions and monitoring of covenants stipulated by lenders.
  •  Monitoring of all the settlement of transaction and ensure timely processing of settlement of all the obligations of the company.
  •  Handling various audit requirements (internal & external) and MIS to team on required frequency
  •  Effecting communicating your insights and plans to cross functional team members and management
  • Responsible for handling and reporting capital market exposure on a daily basis
  •  Evaluation and reporting LCR, ALM and provide requisite information to internal departments.
  • Updating, implementing and maintaining procedures
  • Prioritizing initiatives based on business needs and requirements

Qualification :

38, 39, 40, 48

Skills :

  •  Post Graduate / MBA (Finance) preferred
  •  Semi/Qualified Chartered Accountant

Specialized Competency / Skill

(Should be well versed with/ Should have following function knowledge of)

  • Knowledge of banking products, Debt Capital Markets and Treasury function
  • Proficient with MS Office Applications like advance Excel & Power point Presentations
  • Excellent interpersonal (verbal and written) communication skills
  • Should possess the ability to handle a variety of responsibilities in a given timeline
  • Analytical skills – Ratio Analysis, Yield calculation, Modelling etc.
  • Must be able to function independently & ready to learn to work on new softwares/SAP TRM


User Login

Click To Login With Demo User
Candidate Employer

Forgot Password?

Sign Up

Candidate Employer