Liquidity and Cost Management:
- Raising of Funds by issuance of various instruments / securities
- Interest cost management
- Use of simple Derivatives (OIS / Fwds) for managing / hedging funding cost (currently used only from time to time)
- Relationship Management with various Lenders
- Relationship Management with Rating Agencies
Balance Sheet Management:
- Raising of funds through Securitisation / Assignment
- Tier II capital
Market Risk Management:
- Asset Liability Management (ALM)
- Managing balance sheet risk - by use of approved derivatives instruments (currently used only from time to time)
Job Responsibilities:
- Meeting funding requirements of different Business Units for their monthly Funds requirement.
- Optimization of borrowing cost
- Ensure Timeliness and meeting of Deadlines under the daily volume of treasury related activities.
- Reporting and Coordination with Legal and Compliance for managing regulatory requirements and companies documentation standards.
- Relationship management
- Management MIS
JOB REQUIREMENTS :
Skills/Knowledge prerequisites:
- In-depth Knowledge of Fixed Income / Money Markets and Derivatives
- Strong Analytical ability (ie. Strong technical skills)
- Knowledge of Banking and Finance market related activities
- Presentation and Communication skills
- Working in teams
Educational Qualifications: CA / MBA / CFA
Contact:
Anushka NIbre
9167904879
Didn’t find the job appropriate? Report this Job