Job Purpose
To work on the treasury mid office for Investment portfolio and regulatory schedule preparation.
Duties and Responsibilities
• Manage end-to-end coordination with credit rating agencies, including information sharing, query resolution, periodic reviews, covenant tracking, and timely submission of reports required for debt issuances and borrowings.
• Monitor Asset Liability Management (ALM) position and prepare periodic ALM reports.
• Track and report Liquidity Coverage Ratio (LCR) and other liquidity risk metrics.
• Analyze liquidity gaps, funding profile, and maturity mismatches.
• Prepare and submit Treasury-related regulatory returns and filings within prescribed timelines.
• Ensure compliance with RBI guidelines and internal treasury reporting requirements.
• Prepare daily, weekly, and monthly Treasury MIS for management and committees.
• Analyze borrowings, liquidity, investments, and key treasury performance indicators.
• Support ALCO reporting, presentations, and management reviews.
• Assist in audits,
inspections, and ad-hoc treasury analysis/projects.
Key Decisions / Dimensions
NA
Major Challenges
• Tight timelines for rating agency and regulatory submissions.
• Ensuring accuracy of ALM, LCR, and MIS reporting.
• Managing multiple stakeholder dependencies and data sources.
• Monitoring liquidity risks and regulatory compliance proactively.
• Handling ad-hoc management requests with quick turnaround.
• Maintaining data consistency across reports and filings.
Required Qualifications and Experience
a) Qualifications
PG in financial domain/MBA in finance
b) Work Experience
• 1-2 years of experience preferably in Treasury or in Accounts & Finance domain.
• Valuable knowledge of MS Excel and other MS office applications.
• Exposure to accounting systems, SAP will be an added advantage.
• Understanding of financial statement and reporting.