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Job Description
Role Profile
Requirements
- Bachelor s degree in quantitative discipline
- 2-4 Years of relevant experience in the financial services industry with focus on treasury/liquidity management.
- Advanced Excel Expertise
- High level of quantitative skills
- Working Knowledge of treasury management system
- Strong communication skills and ability to coordinate across various lines of business and internal and external stakeholders.
Responsibilities
1. Carry out daily cashflow forecasting, monitoring bank account balances and executing FX transactions to cover payments in various currencies.
2. Executing daily cash sweeps to meet the accounts level requirements and maximize interest income.
3. Execute trades and manage cashflows for Equity Funds and DPMs in line with the established portfolio guidelines.
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4. Execution of Treasury Trades including Repos, Lombard borrowings and TRS on treasury products.
5. Measure and manage the liquidity risk profile. Prepare and publish periodic liquidity reports
6. Interest rates risk management and use of rates hedging instruments.
7. Managing relationships with bank counterparties.
8. Participation in treasury and other inter-departmental projects and new business initiatives.
9. Contribution toward continuous enhancement of treasury system and process automation.
Skills
BorrowingsTreasuryTreasury ManagementAccountsLiquidityHedgingLiquidity ManagementIf an employer asks you to pay any kind of fee, please notify us immediately. Jobaaj does not charge any fee from the applicants and we do not allow other companies also to do so.
Important dates & deadlines?
Application Deadline
04 Aug 25, 04:08 PM IST
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