About our Client - Our client is one of the Leading Financial Institutions globally.
Job Description –
The candidate would be responsible for providing support to the India local Trade Operations and ensure timely error-free processing of borrowing and investment, Money Market, FX and Derivative transactions. The candidate must have a strong controllership mindset and would be responsible for ensuring timely and accurate regulatory reporting and compliances. In addition to this, he/she must also support and lead key treasury initiatives and projects and cross train to act as a backup for FX Operations.
Qualifications/Requirements
- A first-attempt CA or an MBA with work experience in either:
- Back office in investment banking operations
- Banking operations in treasury.
- Excellent communication and interpersonal skills: experience working across multiple levels, functions and regions; able to deliver messages effectively verbally and in writing.
- Clear thinking / problem solving: successfully lead cross-functional projects / process improvement within the treasury function.
- Basic understanding of financial instruments and the Indian financial markets.
- Strong Controllership mindset and superior analytical skills.
Desired Characteristics:
- Prior understanding of treasury operations in a large organization, bank, financial institution.
- Strong computer skills
- Understanding of FX and Debt products would be desirable.
- Prior understanding of treasury operations in a large organization, bank, financial institution.
Please send your resume to ritujoon.wizlead@gmail.com
Contact
RITU- 09654448311
Wizlead Management Services



