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Job Description
Job Title: Specialist - Treasury Middle Office
Function: Finance / Risk
Role Purpose
The Treasury Middle Office role supports the Front Office / Market Desk by ensuring robust governance, controls, risk monitoring, and reporting across treasury and market activities. The role acts as a critical link between the dealing desk, back office, finance, and risk functions.
Key Responsibilities
Treasury Operations & Market Support
Support treasury market desk activities including FX, interest rate, liquidity, and funding transactions.
Validate and independently confirm deals executed by the Front Office for accuracy, limits, and compliance.
Ensure timely capture of trades in treasury systems and coordinate settlement with Back Office
Risk Management & Controls
Monitor market risk (FX, IR, commodity), counterparty risk, and liquidity risk against approved policies and limits.
Prepare daily/weekly reports on respective portfolios & their exposures, VaR/sensitivity, mark ‑ to ‑ market (MTM), and limit utilization.
Escalate breaches, exceptions, and emerging risks to Treasury Head / Risk Committee.
Support stress testing, sensitivity analysis, and hedge effectiveness assessments.
Reporting & Analytics
Prepare MIS for senior management covering treasury positions, P&L attribution etc.
Assist in month ‑ end and quarter ‑ end treasury close processes, including MTM validation and accounting coordination.
Policy, Governance & Compliance
Ensure compliance with internal treasury policies, delegated authority matrices, and regulatory requirements.
Support audits (internal, statutory) and contribute to strengthening treasury controls and documentation.
Stakeholder Management & Systems
Act as an interface between Front Office, Back Office, Finance, Risk, Banks, and Auditors.
Coordinate with banks for confirmations, limits, and operational issues when required.
Qualifications & Experience
MBA (Finance) / CFA / FRM/Masters in Statistics/Data Science or equivalent qualification preferred.
3–5 years of experience in Corporate Treasury, Treasury Middle Office, Bank Treasury, or Market Risk.
Hands ‑ on exposure to treasury instruments such as FX (spot, forward, swaps), IR derivatives, and hedging structures.
Key Skills & Competencies
Strong understanding of financial markets, treasury products, and risk management concepts.
High attention to detail with a strong control and governance mindset.
Advanced Excel skills; exposure to Bloomberg/Reuters, or equivalent market systems is an advantage.
Strong analytical, communication, and stakeholder ‑ management skills.
Ability to work closely with the market desk while maintaining independence and objectivity.
Role Outcomes
Accurate and timely validation and reporting of treasury deals and exposures.
Zero material control breaches or audit issues.
High ‑ quality risk insights supporting informed treasury decision ‑ making.
Effective collaboration with the market desk without compromising governance.
We are one team, for maximum impact. One team with shared goals. We all play for the team and no one plays against the team. We have a laser-like focus on what our customers need and want, on anticipating their future needs and on how we can create innovative solutions and experiences for them.
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About Company
Important dates & deadlines?
Application Deadline
21 Sep 26, 05:04 PM IST
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