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Treasury Operations Professional

5 - 10 years

8 - 12 Lacs

Posted:12 hours ago| Platform: Naukri logo

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Job Type

Full Time

Job Description

  • Should have handled a sizeable FX exposure of INR 5000 mio (Imports Exports). Should be adept at FX dealing with the banks (taking forwards, swaps, early pick-ups , rollovers and cancellation etc). All regulatory aspects of FX to be handled with the bank
  • Handling Export Transactions- should have hands on experience in clearance of EDPMS, IRMS, MTT transactions, PEM registration and working knowledge of FEMA .
  • Handling Import transactions - should have hands on experience in clearance of IDPMS, ORMS.
  • Any other RBI Compliances with respect to exports imports.

Global Treasury Operations

 
We offer support to Global Treasury operating out of Europe in managing certain functions of Treasury and banking . This activity is managed online

Actively work with an existing resource on Global treasury operations.

Forex (FX)settlement payment processing and bank confirmation for the same.

Forex (FX)Trades approval in treasury management system for reporting the same to regulators compliance. This is proprietary software

Daily review and reconcile the financial transaction between the Treasury Tool and bank statements for all bank account holds by all group entities and MIS to Global cash managers.

Adherence with defined standard operating procedures to ensure completeness and timely tracking, monitoring and settlements.

Tracking, monitoring, controlling and money market settlements in a timely manner.

Timely and accurately recording of FX and Money market (MM) transaction in treasury management system also Support to Accounting team for FX MM transactions (incl. revaluation accounting entries)

Ensuring compliance with regulatory and internal regulation

Collecting and compiling data / information / documents from different clients (Group entity) ; provide MIS to the management on Treasury operations Support Bank Account Attestation

Checking of bank accounts documentation for clients as per guidelines.

Preparation of FX valuation/revaluation reports for all treasury instruments for all Primetals group entities.

Responsible for maintenance and monitoring of the treasury processes and procedures manual.

Responsible for maintaining the Banks banking signatory model for all treasury related activities.

Preparing reports and documents for audit purpose.

Treasury Documentation, Policies and Guidelines

Any other duties that may be assigned to the role holder by Senior Management from time to time.

Work Experience

At least 5 years operational experience in a financial department with significant systems exposure , work experience in related field; experience in Treasury and banking operation practices essential. Personnel with lower experience but strong work ethics can be considered .
Personnel who have worked with Global Shared Services outfit giving back office support to parent companies will be preferred.

Keyskills:

Finance Banking, Excel

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