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Job Location | Mumbai City |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | Recruitment Services |
Functional Area | Finance / Accounts / Tax,SBU Head / CEO / Director |
EmploymentType | Full-time |
Industry - Banking / Financial Services / BrokingCategory - FinanceJob Type - Permanent Job Description - Experience in capital and cash management is a mustLiquidity Stress Testing and Early Warning Indicators experienceClient DetailsOur client is a growing investment bank set up in India with end to end finance function managed from India globally.DescriptionDelivery Management :- Business Partner with senior stakeholders globally, to optimize capital allocation and manage liquidity via adequate planning- Assist to develop Segmented RWA reporting to increase transparency on capital usage and business performance. - Active engagement on Stress testing and model development protocols to produce models that align with the regulatory range of acceptable practices.- Liaise with Credit risk, Accounting and Regulatory Reporting teams to enhance data management and accuracy, and ensure models are consistently applied.- Accountable for timely and accurate delivery of all Capital & liquidity reporting requirements as agreed with stakeholders, along with onward submission of reporting for Group consolidation as required- Accountable for implementing new reports as per group framework and also for ensuring adherence of reports to internal and regulatory the guidelinesGovernance & Reporting :- Ensuring appropriate controls are in place and applied to maintain consistency of reporting processes across the submissions - Track operational delivery status to the plan and report any variance via management reporting - Assist with internal and external audit requests and respond to follow up questions timelyProfileCA/MBA with the following skill sets-- 14+ years of relevant experience in Treasury, Capital Management, or similar functions - 8+ years of experience in managing teams- Experience with a Treasury Management System (SAP, FIS, Wall Street, etc.) is a strong plus- Understanding of key Treasury processes like Bank Account management, Treasury Reporting, HedgeAccounting, Analytics, Working Capital, Managing FX Risks etc.- Experience of working within Banking/Financial services industry- Experience of managing/ leading process improvement initiatives- Experience of working in a GDC/ GIC set up for a large to medium organization- Extensive knowledge and understanding of the external regulatory environment and capital management. - Stress testing, CCAR, DFAST or equivalent exposure,
Keyskills :
process improvement initiativescredit riskwall streetearly warningexternal auditstress testingdata managementcash managementworking capitalfinance functionmodel development