We are looking for a Manager Treasury to join one of our Investment Management Client based in Hyderabad. Members of this team will be working on cash management, liquidity analysis and portfolio financing while gaining a comprehensive understanding of various standard as well as unconventional financing arrangements along with nuances of widely used margining methodologies, techniques involved in optimization of portfolio margin and an insight into financing and borrowing costs.
Primary responsibilities include :
- Handling margin calls and monitoring short term liquidity of funds along with gaining a strong understanding of the portfolio, its financing structure and dynamics to efficiently analyze the causes for change in liquidity.
- Understanding details of various margin methodologies of the several agreements in a portfolio and tracking the internal view of margin; soliciting information from various concerned parties as well as ensuring its availability for all downstream processes.
- Reviewing financing costs of the portfolios and resolving any discrepancies with counterparties.
- Ensuring accuracy of borrowing and lending information in the system.
- Handling ad-hoc projects related to margin/financing, broker revenue and counterparty exposure information.
- Extensively coordinating with other teams towards resolution of issues by effectively analyzing the cause and effects and managing stakeholder expectations.
- Analyzing the scope and feasibility of new client requirements.
- Handling end-to-end on-boarding of new clients; gathering the requirements and showcasing our capabilities clearly.
- Liaising with the IT teams for enhancements to the technology platforms; providing clear specifications, keeping the strategic goals in perspective while prioritizing and thoroughly testing the features before informing clients about the roll-out.
- Overseeing the overall delivery of services to clients while consistently maintaining high standards.
- Managing stakeholders expectations; being proactive in identifying their needs, articulating the scope of offering, escalating issues in a timely manner and showcasing persuasiveness in bringing about changes
- Staying abreast of global financial happenings and industry best practices to proactively align the processes.
- Leading, guiding and motivating the team to meet organizational goals as well as driving professional growth amongst team members.
- The ideal candidate must be an MBA (Finance)/CFA/CA or of equivalent qualification with work experience in collateral management for hedge funds and familiarity with typical financing arrangements as well as various margining methodologies.
- He/She should possess in-depth domain/finance knowledge, attention to detail, ability to work with minimal supervision and must have experience in managing high performers.
- Additionally, a drive to enhance the efficiency of processes, strong project management skills, effective managerial ability and strong communication and collaboration skills are a prerequisite along with proficiency in MS Excel. Experience in securities lending and borrowing as well as optimization of portfolio financing would be an added advantage.
Please Note : Only MBA(Finance) from top B Schools can apply.
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