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Experience: 6-9 Years | Salary: INR Client is one of the best paymaster in the Industry | Opening(s): 1 | Posted Date : 2020-05-25
Hiring For One of the Leading MNC.
Job Description
  • Elements of the Group’s Capital and Funding Projections processes
  • Liquidity Reporting and Analysis including LCR and NSFR
  • Funds Transfer Pricing Charge review
  • Co-ordinating the New Product Approval process
  • Hedging related to the interest rate risk and FX risk of the Group’s capital
  • Peer analysis
  • Partnering with the treasury finance team on key projects and initiatives
  • Document the processes with a view to retain knowledge and ensure continuity
  • Regular reporting to stakeholders in Sydney BSM team and Manager/ AVP in GFS, Gurgaon
  • Ensuring knowledge is shared with resources via cross training and team learning
  • Developing a detailed knowledge of the concepts and processes on liquidity, funding and capital reporting.
  • Developing of relationships with key members of Group Treasury, Finance and business unit finance teams
Desired Profile

Technical skills and business knowledge:

  • Outstanding academic background with CA/ MBA degree
  • 3-8 years of relevant experience. Experience in Balance Sheet Management or Treasury will be an advantage, in particular any experience related to :
  • Treasury balance sheet reporting
  • Capital and Funding Projections
  • Interest rate and FX reporting, policy and management
  • Liquidity and Funds transfer pricing
  • Peer Bank Analysis
  • Regulatory capital frameworks
  • Leverage and Capital ratios
  • Sound knowledge of the Financial/Banking Services industry, products & Shared Services operating models.
  • A high degree of comfort in dealing with information technology
  • Very strong MS Office Skills
  • Tenacity and Problem solving
  • Motivated team player who enjoys a high-performance environment
  • High attention to detail
  • Ability to anticipate and identify potential problems and demonstrate a proven track record in solving complex and ambiguous issues
  • Flexibility, tenacity and the ability to maintain enthusiasm on long-running or difficult process re-design initiatives
  • Communication skills
  • Demonstrated ability to motivate, influence and gain commitment at all levels of the organization
  • Strong facilitation, oral and written communication skills. Effective presentation skills
  • Strong Power Point /Process/Systems/Data Mapping skills – well developed ability to define and document processes and capture process/system/data requirements

Client Orientation

  • Ability to build strong relationship and influence clients and stakeholders.
  • Proactive approach to anticipating client needs, issues and challenges, and initiating solutions that carries through to resolution.
  • Possess a strong appreciation of key business drivers and an understanding of the impact of “change” upon the business.
  • Inspires loyalty and trust in others and commitment to a common vision
  • Willingness for travel and work in different time zones to support client.

Team Orientation

  • Competence in leading by example, working cooperatively and communicating openly to create a positive, cohesive team
  • Committed to employee engagement and a passion for operational excellence
  • Be a self-starter who can work well both independently with minimal supervision and as a team , and is capable of utilizing the GFS and GT BSM management team as a sounding board for ideas related to application of various aspects of the role.

Reference ID - GH/BFSI/JC//04052020//90736/Assistant Manager - Group Treasury

Industries TypeInvestment Banking
Role Assistant Manager - Group Treasury - With Leading Banking Industry Client
Skills Liquidity reporting, Regulatory, Treasury, Balance sheet
Functional Area Finance and Accounts
Education UG - Any Graduate - Any Specialization, PG - Post Graduation Not Required, Doctorate - Doctorate Not Required
Location Gurgaon
Keywords Liquidity reporting, Regulatory, Treasury, Balance sheet
Contact HR
Telephone 01146547700
Reference id GH/BFSI/JC//04052020//90736/Assistant Manager - Group Treasury