Looking to hire Head - Treasury for a MNC bank in Mumbai:
Minimum 15+ years treasury experience, of which at least 5 years in senior treasury position.
Support the management and implement business strategy and plans for banks India Treasury and assets and liability in line with overall treasury strategy aiming to maximise profits and minimise risks.
Ability to work under market pressures whilst maintaining risk control and limit compliance. Experience in Financial Investments and Markets, Knowledge of related laws and regulations, Knowledge of FEDAI AND RBI regulations. Adaptable to multicultural work environment
Formulate business strategy for the division (Forex, Interest rate and funds, investment) in line with overall corporate goals and vision and lead and guide preparation of long and short term plans for the division
Ensure availability and management of adequate, timely and quality resources (financial, technical and human) at optimum cost for the division.
Introduce and market profitable treasury and investment services through a diversified product mix that serves customers requirements. Monitor and ensure team generates Treasury income via Interbank / Trading
a) Fixed Income Trading
b) Forex Trading
c) Derivatives Trading
Also responsible for Asset & Liability Management, Funding, CRR, SLR maintenance, Forex, Interest rate.
ALM - Optimise ALM and ensure Stable Treasury Earnings.
Team Management : Guide, train, motivate and direct team to perform effectively and work to their best potential. Contribute to the manpower plan for the treasury function and participate in the selection and recruitment process.
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