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539
Applications:  191
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Job Code

1700307

UPL - Treasury Middle Office Analyst - Market Desk Exposure

UPL.2 - 6 yrs.Mumbai
Posted 2 months ago
Posted 2 months ago

Job Title: Treasury Middle Office Analyst (Market Desk Exposure)


Function: Finance / Corporate Treasury


Role Purpose:


The Treasury Middle Office role supports the Front Office / Market Desk by ensuring robust governance, controls, risk monitoring, and reporting across treasury and market activities. The role acts as a critical link between the dealing desk, back office, finance, and risk functions.


Key Responsibilities:


Treasury Operations & Market Support


- Support treasury market desk activities including FX, interest rate, liquidity, and funding transactions.


- Validate and independently confirm deals executed by the Front Office for accuracy, limits, and compliance.


- Ensure timely capture of trades in treasury systems and coordinate settlement with Back Office


Risk Management & Controls


- Monitor market risk (FX, IR, commodity), counterparty risk, and liquidity risk against approved policies and limits.


- Prepare daily/weekly reports on respective portfolios & their exposures, VaR/sensitivity, mark to market (MTM), and limit utilization.


- Escalate breaches, exceptions, and emerging risks to Treasury Head / Risk Committee.


- Support stress testing, sensitivity analysis, and hedge effectiveness assessments.


Reporting & Analytics


- Prepare MIS for senior management covering treasury positions, P&L attribution etc.


- Assist in month end and quarter end treasury close processes, including MTM validation and accounting coordination.


Policy, Governance & Compliance


- Ensure compliance with internal treasury policies, delegated authority matrices, and regulatory requirements.


- Support audits (internal, statutory) and contribute to strengthening treasury controls and documentation.


Stakeholder Management & Systems


- Act as an interface between Front Office, Back Office, Finance, Risk, Banks, and Auditors.


- Coordinate with banks for confirmations, limits, and operational issues when required.


Qualifications & Experience:


- MBA (Finance) / CFA / FRM/Masters in Statistics/Data Science or equivalent qualification preferred.


Internal:


- Experience in Corporate Treasury, Treasury Middle Office, Bank Treasury, or Market Risk.


- Hands on exposure to treasury instruments such as FX (spot, forward, swaps), IR derivatives, and hedging structures.


Key Skills & Competencies:


- Strong understanding of financial markets, treasury products, and risk management concepts.


- High attention to detail with a strong control and governance mindset.


- Advanced Excel skills: exposure to Bloomberg/Reuters, or equivalent market systems is an advantage.


- Strong analytical, communication, and stakeholder management skills.


- Ability to work closely with the market desk while maintaining independence and objectivity.


Role Outcomes:


- Accurate and timely validation and reporting of treasury deals and exposures.


- Zero material control breaches or audit issues.


- High quality risk insights supporting informed treasury decision making.


- Effective collaboration with the market desk without compromising governance.

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Posted by

Job Views:  
539
Applications:  191
Recruiter Actions:  0

Job Code

1700307

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