We are looking out for Manager - Treasury with a Financial Firm.
The role involves :
- Gaining a strong understanding of the portfolio, it's financing structure and dynamics to efficiently analyze causes for change in liquidity.
- Understanding the various margining methodologies of the several agreements in a portfolio and tracking the internal view of margin; soliciting information from various stakeholders and ensuring its availability for all downstream processes
- Reviewing financing costs of portfolios and resolving discrepancies (if any) with counterparties.
- Ensuring accuracy of borrowing and lending information.
- Handling ad-hoc projects related to margin/financing, broker revenue, and counterparty exposure information.
- Coordinating with other teams toward resolution of issues by effectively analyzing the cause and effects.
- Analyzing the scope and feasibility of requirements from new clients.
If interested, kindly apply and I shall get back to you asap.
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