Posted By
Posted in
Banking & Finance
Job Code
1379790
Treasury - Mid office forex
- To Plan and set policies and guidelines for managing treasury forex activities including setting, monitoring risk limits and preparation and reporting of MIS to management and regulators for the Bank.
- Pioneer in setting up mid office forex desk
- Preparation and reporting of Liquidity Coverage Ratio, Net Stable Funding Ratio, Interest Rate Sensitivity, Liquidity Risk and other relevant regulatory reports in Foreign currencies
- Monitoring of Risk limits and generation of Risk Reports related to Treasury
- Rate Scan
- Forex Day-light position, NOOP, AGL-IGL
- Monitoring of rates input in the system
- Intra-day MTM & Stop Loss Tracking
- Calculation of counterparty exposure
- Monitoring, Preparation and analysis of PV01, Modified Duration
- VaR and RBS Reporting
- VaR - Back-testing
- Treasury Snapshot Report
- Dealer-wise P&L calculation
- Trading Book Risk Dashboard
- Forex Dashboard
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Posted By
Posted in
Banking & Finance
Job Code
1379790