Posted By
Posted in
Banking & Finance
Job Code
1217532
Roles and Responsibilities:
- Understanding the Traders mandate
- Performing checks b/w Traders estimate and Actual P&L and raising the variances to right team along with investigations.
- Producing daily P&L and reporting it Daily P&L system.
- Working on Month end close and posting of appropriate entries.
- FMSW submissions and taking trader sign offs by explaining any queries raised in terms of P&L submitted.
- Help on centralized activities like Dashboard, daily checklists and any other file preparations for full team.
- Good understanding on Bonds , Funding and Hedge instruments.
- Ensure back-ups are trained and created among team members.
- Ensure mandatory trainings are completed on time and enroll for technical trainings to upskill on the role
- Lead through example and build the appropriate culture and values.
- Research market best practice and keep abreast of the evolving issues e.g. XVA, IBOR Transition, etc. that affect the Treasury Business.
- Participate in projects with different initiatives
Key Stakeholders:
- Regular faceoff with Traders, FMO and Finance teams along with MO and IT teams.
- Act as a point of reference for team members and internal clients.
- Project teams for many infrastructure onboardings
- Manage strong relationship with support teams (IT, Operations and Risk) and bring synergies by interacting and integrating with cross functional teams.
Our Ideal Candidate:
- Educated to degree level; preferably with a Finance / Business OR Financial Engineering background or Masters degree in a quantitative subject with 2-4 years of professional experience in a financial service industry.
- Strong quantitative analytical skills and an understanding of financial products.
- Strong Control mindset. Strong interpersonal, communication (verbal and written) and negotiating skills.
- Strong interpersonal communication skills to build an effective internal network across the numerous stakeholders.
- Finance certifications such as CFA/FRM/CQF will be given additional weightage while assessing candidature.
Role Specific Competencies:
- Familiarity with Economics Concepts related to FX Rates, Interest Rate Parity, Repo/reverse repo and other central bank instruments, inflation, money market, etc.
- Familiarity with products such as bonds, Hedging instruments.
- IFRS9 understanding with understanding of classification and categorisation
- Good Accounting knowledge of transactions and reporting.
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Posted By
Posted in
Banking & Finance
Job Code
1217532