Posted By
Posted in
Banking & Finance
Job Code
1598836
Role Overview:
Lead the forex and commodity risk management function for the organization and its group companies, ensuring effective risk mitigation and optimal financial outcomes. Act as a key interface between internal group treasury teams and the external banking ecosystem, while driving strategic initiatives across funding, hedging, and risk management.
Key Responsibilities:
1. Risk & Hedging
- Lead forex risk management for multiple currencies (USD/INR as primary, plus EUR, BRL, TRY, JPY, CNY, etc.) covering large import/export exposures.
- Oversee commodity hedging across group businesses.
- Ensure daily, conservative risk coverage with the best available instruments.
2. Group Treasury Oversight
- Act as the primary point of contact for treasury teams across the group companies
- Manage 5 direct reports , jointly responsible for group-wide coverage.
- Liaise across diverse sectors
3. Banking & Fundraising
- Maintain and expand strong banking relationships across the group.
- Drive fundraising initiatives, including loan negotiations and non-fund-based facilities.
- Oversee trade finance activities (LCs, guarantees, channel/vendor financing).
4. Strategic & Advisory
- Provide senior management with macroeconomic insights and FX/commodity market intelligence to guide strategy.
- Collaborate on digitisation and treasury technology initiatives.
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Posted By
Posted in
Banking & Finance
Job Code
1598836