Treasury - FIG
- Keeping close liaison with banks and other financial institutions for enhancing trade and treasury related activities.
- Entering into long term bilateral funding arrangements with MNC banks, multilateral agencies and other banks.
- Performing network management function for the outbound requirement of the bank by analysing among various options.
- Coordinating with the Balance Sheet Management unit for raising funds for the bank and facilitating internal & external client requirements.
- Monitoring flows and cost of funding with existing lenders.
Didn’t find the job appropriate? Report this Job