Treasury - Balance Sheet Management -Mumbai

Treasury - Balance Sheet Management -Mumbai

1 Nos.
95137
Full Time
5.0 Year(s) To 10.0 Year(s)
15.00 LPA TO 28.00 LPA
BFSI, Investments & Trading
Banking/Financial Services
Job Description:

Job Description:-

  • Analyze the Bank’s Balance sheet in terms of asset liability maturity gaps, repricing gaps, currency gaps and duration
  • Contribute to the Bank’s financial planning, forecasting and budgeting processes
  • Manage the INR book in an efficient manner to achieve targeted returns
  • Comply with RBI regulations to ensure that there are no violations. Also adhere to directions from other regulatory bodies like FEDAI, FIMMDA, CCIL, SEBI etc.
  • Ensure that all foreign currency gap positions are closed in a timely manner in order to avoid interest rate exposures
  • Work with Corporate Banking and Expand avenues to raise Liability
  • Co-ordinating  with retail and wholesale team for deposit mobilization
  • Develop technical know-how to keep abreast of latest product development in the FX, derivatives and futures area in order to service clients
  • Operate within designated limits to ensure bank exposure is kept at defined levels and maintain related MIS relating to client and bank exposures
  • Execute year-end balance sheet targets to enable the bank to meet its year end positioning / regulatory requirements
  • Maintain code of dealing ethics and conduct to achieve industry standards

 

Company Profile

Is an Indian ---ing and financial services company headquartered in Mumbai. It offers ---ing products and financial services for corporate and retail customers in the areas of personal finance, investment ---ing, life insurance, and wealth management.

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