This opportunity is with leading bank in Mumbai
Responsibility Areas :
- Ensure day to day operations are managed as per Operational Manual
- Lead in conducting day to day Foreign Exchange Operations - Interbank and Nostro Liquidity Management
- Authorise SWIFT payments
- Drive change initiatives and conduct UATs
- Build and maintain relations with Stakeholders
- Ensure processes minimize risk and improve controls
- Coordinate and support for the on-going Treasury projects
- Bring about good market practices in ensuring service delivery excellence
- Streamline process through quality initiatives
- Actively support the building and rolling out of a continuous improvement culture / framework
- Manage a team size of 3-5
- Post Graduate with CAIIB / CA
- Domain Knowledge relating Treasury Operations especially in the area of Foreign Exchange and Nostro Funding
- Working knowledge of Calypso Treasury system will be an advantage
- 8-12 years' experience in Treasury Operations with a minimum of 2-3 years in independently managing a team.
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