1. Investments
- Managing the Liquid Investment book to ensure minimal negative carry.
- Handling the debt investment boo.
- Maintaining and monitoring the risk metrics of investments and ensure there is no breach of the same.
2. Economic Research
- Track various economic and regulatory changes to present a detailed analysis.
- Continuous research on economy, debt markets, Insurance companies and Corporates to enable the Treasury make a more informed decisions.
3. Skills Requirement
- Hands-on experience on various investment products on the debt side.
- Ideal candidate should be from a bank or mutual fund or a corporate(only those with active investment management)
- Understanding of the macro-economic environment and the impact of events on the market.
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