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DGM-Forex

DGM-Forex

ConfidentialMumbai, India
28 days ago
Job description

Job Description

  • ACCOUNTABILITIES & RESPONSIBILITIES

Accountabilities Activities

Hedging (Forex & Derivatives)

Treasury Operations

  • Effectively hedge the significant foreign exchange and derivative flows of Nayara Energy on a daily basis and minimize the risks in volatile market conditions.
  • Analyze the dynamic markets using various technical and fundamental tools and form definite views on various potential currency movements
  • Aid in the overall decision making process of hedging the forex flows
  • Efficiently capture the daily transactions in the front office system and keep track of the Daily Outstanding Positions and communicate the same to relevant counterparties.
  • Perform various other miscellaneous treasury operation functions such as preparing Utilization Letters and act as communication point for relevant bank branch officials.
  • Responsibilities

  • ACCOUNTABILITIES & RESPONSIBILITIES
  • Qualifications

  • SKILLS & KNOWLEDGE
  • Educational Qualifications & Certifications :
  • MBA (Finance)

  • Relevant (Functional / Level) & Total Years of Experience :
  • 10-12yrs of Relevant Experience in the Treasury / Global Markets, with Indian Public Sector Bank and Leading Indian Corporates

  • Functional Skills :
  • Sound Knowledge of Foreign Exchange markets, Equities and other asset Classes
  • Keen interest to update knowledge in related financial domain and pursuing FRM Level 2 certification for the same.
  • Clarity in communication (verbal and written) while dealing in volatile markets.
  • Behavioural Skills :
  • Integrity and sound ethics
  • Ability to assume responsibility for greater role
  • Maturity and team spirit
  • Work efficiently under stress
  • Skills Required

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    DGM-Forex • Mumbai, India