Manager/Senior Manager/Chief Manager - Treasury & Forex

Department Icon Accounting & Finance
137+ Applicants
Posted: 1 day ago
7-15 years
Mumbai
work from office

Posted: 1 day ago
|
Applicants: 137+
Job Description
Similar Jobs
Please verify your account first! Send OTP

Job Description

Currency Management:
- First point of contact for all Currency Management tasks for businesses; Support the Business/Project Commercial Managers in the identification of foreign currency risks and advise on mitigation of such risk including assessing the level of risk mitigation in case of currency clause usage.
- Collate foreign currency exposure from businesses, review project cash flows together with the Project Commercial Managers and initiate consolidated hedge requests to Fx Trader

- Monitor the outstanding hedge book and give timely updates to Fx Trader to initiate rollovers/cancellations based on changes to underlying exposures and expected cashflow

- Identifying and hedging Balance sheet exposures in line with company policy.
- Provide rates for offer calculation to the businesses and monitor significant contingent foreign currency exposure, post updating the offer calculation rate every month.
- Report monthly Net Foreign Currency Position and also, on a quarterly basis, report to management on foreign currency and commodity exposure and hedging status.
- Advise the Commercial Managers on the appropriate application of Hedge Accounting and the accounting impact of foreign currency transactions and support in the identification of Embedded Derivatives.
- Management of Stakeholders - Must build transparency and trust across all partners

- Collaborate effectively with business teams and other regional currency management teams outside India, implement standard methodologies, with a clear focus on digitalization and automation.
FX Dealing:
- Executing deals with banks and exchanges to hedge Fx and commodity exposure and managing hedge book.
- Demonstrating proficiency and adhering to market best practices in all dealings in the market; Managing reporting requirements in line with Central bank regulations and internal guidelines.
- Continuously monitor and improve the existing Fx and commodity exposure management landscape by designing and implementing automated risk management processes.

Looking to get Placed? Try our Placement Guarantee Plan

Liquidity Management:
- Placement of deposits with banks or group companies / mutual funds - adhering to internal policies, counterparty limits and external regulations; achieving optimal returns on surplus funds by following best market practices.
Requirements:
- Qualified Chartered Accountant.
- At least 7+ years of professional experience in a corporate treasury/finance environment, preferably in areas of foreign exchange and commodity risk exposure management and/or business commercial / project finance.
- Experience in crafting and optimizing processes is required, preferably within a digitalization and automation context.
- Ability to manage multiple partners' expectations; Intense collaboration with the businesses will be the key.
- Good knowledge of accounting incl hedge accounting required; Proficient in SAP and MS office suite.

Skills

TreasuryCATreasury HeadFinancial ControlFXProject FinanceLiquidity ReportingCommodity TradingAccountingReturnsTransactionsAccountantBalance SheetChartered AccountantFinanceCash

If a job posting appears fraudulent, asks for payment, contains misleading information, or violates our guidelines, please report it immediately. Our team will review it promptly, Jobaaj does not charge any fee from the applicants.

Important dates & deadlines?

Application Deadline

06 Dec 26, 12:49 PM IST

Similar Jobs

View All
Loading...
Bag Logo
Jobaaj
Don't Miss out any Updates

Subscribe now for the latest job alerts
and never miss an update

Job Alert
Google hiring for Specific Roles Apply Now!
1 min ago
New Opportunity
Amazon is hiring freshers Apply Now!
5 min ago
Featured Jobs
Microsoft opening 50+ positions Apply Now!
10 min ago

Manager/Senior Manager/Chief Manager - Treasury & Forex

Share with