Job Details : Analyst

Requirement Analyst ( IPS/6366/2018 )
Location "Mumabi"
Experience  1.00-2.00 years
No. of Positions 2
Education "CA Inter" , "MBA"
Job Description 

Divisional Overview:

 

The Corporate finance team performs global and seamless Finance operations including trading and product control, Group financial reporting and disclosure, management information and reporting for decision support, planning and development of financial strategy including funding policies and financial analysis, funding and cash management, tax planning and reporting, investor relations management, and much more.

 

Business Unit Overview:

 

Treasury Liquidity team provides management information and analytics for senior Management’s decision making. The department’s mandate is to maximize the firm’s liquidity for the minimum level of cost whilst ensuring the business lines are appropriately incentivized through effective Funds Transfer Pricing.

The main objectives of Global Treasury are:

 Develop liquidity management policy

 Measuring, monitoring and managing the firm’s liquidity position

 Determining the size/composition of the liquidity pool

 Maintaining relationships with regulators regarding liquidity management

 Allocating cost of funding to businesses through transfer pricing

 Recommending the firm’s liquidity risk tolerances to senior management

 Compliance and adherence to the Regulatory guidelines

 

Position Specifications

Division                        
:          Finance Treasury
Designation                 :           Analyst

Shift timings                :           Shift Timing (1 p.m. to 10 p.m.)
No. of Position             :           1
Experience                  :           1-2 years of experience in treasury, controller and balance sheet
Qualification                :           CA Inter/MBA (Finance product knowledge)

Contract period            :           6 Months (Extendable for another 6 Months)


 

Role & Responsibilities of the position in brief:

 

·         Daily Monitoring and Reporting to Senior Management on key liquidity risk drivers through internal and external stress testing models (Maximum Cumulative Outflow (MCO) and Liquidity Coverage Ratio (LCR) for JFSA/EBA/MAS respectively.

·         Develop and maintain controls to validate with reasonable certainty the accuracy and completeness of the data input into the calculations

·         Analyse and explain key day on day drivers for movement’s in liquidity position of the firm through various liquidity risk metrics

·         Collaborate with regional treasury to deliver on mandatory regulatory change agenda

·         Manage and lead the team and further develop the teams over all responsibilities.

·         Ensure that the team meets all the requirements and deadlines relating to the reporting activities and ensure that the necessary protocols are followed

 

Key Skills:

 

ü  Good experience in basic report writing and presentation skills

ü  Ability to clearly communicate in both verbal and written form.

ü  Highly driven and motivated individual who challenges existing processes with a view to improvement.

ü  Microsoft Excel and Word to Intermediate level

ü  Proficiency in bringing issues to closure by keeping all the relevant stakeholders informed.

ü  Experience in Treasury, Treasury Reporting other related activities