Job Description :
Skills : Corporate Treasury / Credit Risk/Market Risk/ Liquidity Risk
Experience : 4-8 Years
Location : Gurgaon
Qualification : MBA (Finance) /CA (Chartered Accountant) / B.tech with Finance
Responsibilities :
- Analyze and reconcile data in Liquidity Risk systems and investigate differences
- Compare information from multiple data environments in various areas of the bank (Finance, Middle Office, Operations and Treasury) to enable comparison with data held in Liquidity risk system
- Work with business partners to expand Data Validation & Reporting processes
- Compile findings and produce reporting as required for management and/or regulatory.
- Good understanding of BASEL-III and LCR requirements.
- Quantify and articulate data integrity issues
- Engaging with technology, middle office, finance and operations teams to remediate issues
- Good understanding of corporate treasury operations and related business functions.
- Interaction with Line of Business and other business partners.
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