أرسل لي وظائف مثل هذه
الجنسية
أي جنسية
جنس
غير مذكور
عدد الشواغر
1 عدد الشواغر
الوصف الوظيفي
الأدوار والمسؤوليات
In this role, you will:
- Project and execute FX and money market trades aligned with treasury strategy and market conditions.
- Monitor INR currency markets, technical indicators, and global macroeconomic developments to support informed decision making.
- Verify, input, and maintain all trade transactions within the Treasury Management System (TMS).
- Support daily reconciliation of exposure, positions, balances, and trade settlements.
- Assist in developing short term and medium term cash forecasts and evaluating forecast variances.
- Monitor daily liquidity levels and contribute to working capital optimization initiatives.
- Collaborate with Finance, Network, Business Units, and the broader Treasury team to achieve organizational objectives.
- Provide timely support for month end close, audit requirements, internal reporting, and treasury controls.
All About You
The ideal candidate for this position should:
Essential Knowledge, Skills & Experience
- Demonstrate strong analytical, numerical, and problem-solving capabilities.
- Possess sound understanding of FX markets especially INR markets and awareness of macroeconomic drivers.
- Have familiarity with technical analysis tools or indicators used for market interpretation.
- Be proficient in Excel and comfortable working with Treasury Management Systems (TMS).
- Show strong accuracy and attention to detail when validating trade details and reconciliations.
- Communicate insights clearly to both technical and non-technical stakeholders.
Desirable Capabilities
- Display a proactive, solution-oriented mindset and eagerness to enhance existing treasury processes.
- Stay updated on financial market dynamics, economic news, and regulatory developments.
- Collaborate effectively with cross functional teams and maintain a stakeholder focused approach.
- Adapt quickly to changing priorities in a fast-paced treasury environment.
الملف الشخصي المطلوب للمرشحين
Essential Knowledge, Skills & Experience
- Demonstrate strong analytical, numerical, and problem-solving capabilities.
- Possess sound understanding of FX markets especially INR markets and awareness of macroeconomic drivers.
- Have familiarity with technical analysis tools or indicators used for market interpretation.
- Be proficient in Excel and comfortable working with Treasury Management Systems (TMS).
- Show strong accuracy and attention to detail when validating trade details and reconciliations.
- Communicate insights clearly to both technical and non-technical stakeholders.
Desirable Capabilities
- Display a proactive, solution-oriented mindset and eagerness to enhance existing treasury processes.
- Stay updated on financial market dynamics, economic news, and regulatory developments.
- Collaborate effectively with cross functional teams and maintain a stakeholder focused approach.
- Adapt quickly to changing priorities in a fast-paced treasury environment.
القطاع المهني للشركة
الكلمات الرئيسية
- Analyst
- Corporate Treasury
تنويه: نوكري غلف هو مجرد منصة لجمع الباحثين عن عمل وأصحاب العمل معا. وينصح المتقدمون بالبحث في حسن نية صاحب العمل المحتمل بشكل مستقل. نحن لا نؤيد أي طلبات لدفع الأموال وننصح بشدة ضد تبادل المعلومات الشخصية أو المصرفية ذات الصلة. نوصي أيضا زيارة نصائح أمنية للمزيد من المعلومات. إذا كنت تشك في أي احتيال أو سوء تصرف ، راسلنا عبر البريد الإلكتروني abuse@naukrigulf.com
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