Global Corporate Treasury [Forex Front Office]
Job Description
Develop and implement hedging strategies to mitigate foreign exchange risk within overall guidelines.\no Execution – Dealing with banks for hedging related activities (end to end, within India and outside India). Execute hedging transactions using appropriate products.\no Market Analysis – Deep understanding of marco economy, regularly talking to economist to understand prevailing scenarios and accordingly analyzing the impact on currencies/fx market.\no Reporting – Prepare regular reports/presentations for senior management on market trends.\no Relationship management – Liaise with banks/trading platforms to secure competitive rates & maintain strong counterparty relationships.\no System Utilization – Well versed with Bloomberg/Refinitiv terminals/SAP.\n\nQualifications:\no CA/MBA (Finance)- Full Time, CFA or progress towards CFA is preferred,\no 10+ years of relevant experience in Global Corporate Treasury,\no Hardcore experience in Forex Front office of large diversified global corporate treasury having muti currency/geography exposure (revenue > USD 4bn) or forex dealer in large PSU bank (Strictly dealing profile candidates to be entertained, Relationship managers/sales profile shall be avoided).\no Well versed with Microsoft Office Tools\no Willingness to relocate.