Posted By
Posted in
Banking & Finance
Job Code
1604392

Experience:
Qualification:
MBA (Finance) / Chartered Accountant (CA) / CFA preferred
Key Responsibilities:
- Manage and grow a portfolio of mid-to-large corporates, offering treasury solutions across FX Spot, Forwards, Swaps, and Derivative instruments.
- Provide strategic hedging solutions to clients based on their underlying exposures (imports, exports, ECBs, borrowings, etc.).
- Conduct detailed market analysis to advise clients on currency and interest rate movements, hedge ratios, and pricing strategies.
- Coordinate with internal risk, credit, and legal teams to structure and execute derivative transactions within regulatory and internal compliance frameworks.
- Act as a single point of contact for all FX and derivative-related client needs, including pricing, structuring, execution, and post-trade support.
- Deliver regular market updates, hedge effectiveness analysis, and customized reports to clients.
- Help drive treasury product penetration across the banks corporate client base and contribute to overall revenue goals.
Key Skills Required:
- Deep understanding of FX markets, derivative structures (plain vanilla and customized), and regulatory frameworks (FEMA, RBI guidelines).
- Strong client relationship skills with a consultative sales approach.
- Proficiency in pricing models and Bloomberg/Reuters terminals.
- Proven track record in structuring and closing derivative deals.
- Ability to manage market risk and provide high-impact client advisory.
- Excellent communication and presentation skills, especially with CFOs/Treasury Heads.
Other Details:
- Preference for candidates from banks, NBFCs, or treasury-focused financial firms with strong corporate client handling experience.
- Willingness to travel locally for client meetings.
Note:
We will be connecting with suitable candidates. For others, well keep your profile in consideration for future opportunities.
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Posted By
Posted in
Banking & Finance
Job Code
1604392