Posted by
Posted in
Banking & Finance
Job Code
1714046

Assistant Manager Treasury (Forex & Treasury Back Office)
Location: Bangalore
Qualification:Qualified Chartered Accountant (CA), MBA/CFA/CMA
Experience: 35 Years
Role Overview:
We are seeking a qualified CA with strong experience in Treasury Operations, Forex Management, Hedge Accounting, and SAP Treasury Management. The role will be responsible for end-to-end treasury back-office operations, hedge accounting compliance, forex deal administration, treasury controls, audit support, and regulatory compliance.
Key Responsibilities:
Forex Deal Administration:
- Independently confirm all FX transactions including Spot, Forward, Swap, Options, ECB-related hedges, and structured products with banks and counterparties.
- Verify deal terms including currency pairs, rates, tenor, settlement dates, and counterparty details.
- Ensure approvals are obtained as per Treasury Policy, Delegation of Authority (DOA), and regulatory requirements.
- Monitor pending confirmations and coordinate with banks for timely closure.
Treasury Back Office & SAP Treasury Management:
- Maintain and update FX transactions in SAP Treasury Management System (TMS).
- Process deal rollovers, cancellations, settlements, MTM valuations, and accounting entries.
- Reconcile SAP records, bank confirmations, and valuation reports.
- Coordinate with Finance teams for monthly and quarterly treasury closures.
Hedge Accounting & Risk Management:
- Prepare hedge documentation in compliance with Ind AS 109 / IFRS 9.
- Support hedge designation, effectiveness testing, rebalancing, and de-designation activities.
- Advise business units and subsidiaries on hedge accounting treatment.
- Maintain complete and audit-ready hedge documentation.
Treasury Controls & Compliance:
- Ensure compliance with RBI, FEMA, accounting standards, and internal treasury policies.
- Support treasury governance and segregation of duties across Front Office, Mid Office, and Back Office.
- Monitor counterparty limits, exposure limits, and policy compliance.
- Develop and maintain SOPs and process documentation.
Audit & Reporting:
- Support Statutory, Internal, IFC, and Management Audits.
- Prepare treasury audit packs including confirmations, valuation reports, hedge files, and reconciliations.
- Generate management reports covering FX exposures, open positions, hedge status, MTM summaries, and treasury KPIs.
Desired Skills:
- Strong understanding of Forex products, derivatives, swaps, options, NDFs, CCIRS, and commodity hedging instruments.
- Hands-on experience in SAP Treasury Management (TMS).
- Sound knowledge of Ind AS 109, IFRS 9, RBI and FEMA regulations.
- Strong analytical, reconciliation, and stakeholder management skills.
- Excellent communication and documentation abilities.
Candidate Profile:
- Qualified Chartered Accountant (CA), MBA/CFA/CMA
- 35 years of experience in Treasury Operations, Forex Back Office, Hedge Accounting, or Corporate Treasury.
- Experience in large corporates, multinational companies, shared services, or treasury centers of excellence preferred.
- Ability to work independently and manage multiple stakeholders in a fast-paced environment.
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Posted by
Posted in
Banking & Finance
Job Code
1714046