Posted By
Posted in
Banking & Finance
Job Code
1205013
Treasury Operations Manager-Bank
Please find below the JD:
The incumbent would primarily be responsible for day-to-day operation, Settlement, reporting of Treasury transactions in Forex& Derivatives, Confirmation of Treasury transactions, Accounting of Treasury transactions, Regulatory & MIS Reporting & Concurrent/Statutory/RBI audit.
Key Responsibilities / Requirements:
- Managing day to day Forex and Derivative Market Treasury Back Office operations for the bank.
- Operations and settlements for the Interbank foreign currencies including USD/INR in CCIL/CLS Settlement platform.
- Necessary Confirmations of Treasury transactions with counterparties.
- Submission of various regulatory reporting of RBI like FTD, GPB, R-returns and other applicable Treasury Regulatory returns.
- Knowledge of various Merchant forex transactions like Ready, Forward contracts, Bill Buying, Bill crystallisation, etc.
- Knowledge of NOOP calculation and method w.r.t.IC-5 position, Late night deals, AGL-IGL, etc.
- Knowledge of SWIFT international gateways, Incoming SWIFT check and advise to branch.
- Operations of internal Treasury software, CBS, etc. Implementation of new Treasury FX & Derivatives software.
- NOSTRO accounts Balances/Position/Recon.
- Accounting of Treasury Forex& Derivatives transactions.
- Managing the Concurrent Audit, Internal audits and RBI audit and Inspections.
- Compliance with RBI/FEDAI/CCIL on Treasury Operations.
- Knowledge of relevant RBI circulars and latest FEDAI guidelines.
- Knowledge of CCIL Report Browser for monitoring various reports for Forex & Derivative products.
- Static data maintenance(SSI, LEI etc).
- Derivatives related Documentation like ISDA, etc.
- Preparation of Treasury manuals /policies for bank.
- Training to other team members.
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Posted By
Posted in
Banking & Finance
Job Code
1205013