Posted By
Posted in
Banking & Finance
Job Code
1202041
Key Job Requirements :
- Should have handled key Core Forex desk activities and compliance with regulatory norms (borrowing and lending FC, covering merchant exposures, forward hedging, proprietary trading etc).
- Managing day-to-day treasury activities including, funding of Nostro accounts, FCNR hedging, FC Depo, NOOP and Gap limits.
- Hands on experience on dealing on various trading platforms like FX Clear, Reuters D2, 360 T etc and achieving STP with integrated treasury systems.
- Trading in USDINR and select G7 pairs with consistent profit objective by holding strategic positions also making use of arbitrage opportunities available across different trading platforms.
- Knowledge of derivative and hedging products (FRA, Futures options and Swaps etc )
- Introduction of new correspondent banks to widen sources for lending and borrowing, better pricing etc
- Developing and sustaining relationships with FI and overseas banks for lending or borrowing short/long term funds and negotiating rates in favour of the bank
- Collaborate with different business units and support them to develop plans to meet sales targets
- Experience in advising corporates on analysing transactions through the study of historical data and guiding the risks associated with their foreign exchange exposure
- Expertise in preparation of Policies and Product notes related to FX Desk and new revenue streams to boost the profitability of the treasury
- Fair knowledge of Treasury systems (Calypso, Kondor etc)
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Posted By
Posted in
Banking & Finance
Job Code
1202041
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