Manage and monitor foreign exchange exposures across group businesses.
Execute and manage FX hedging strategies using Spot, Forward, Currency Swaps, and Options.
Identify market opportunities to generate treasury income and optimize hedging costs.
Conduct macroeconomic and currency market research to support trading and risk management decisions.
Provide market insights, forecasts, and recommendations to treasury leadership.
Ensure compliance with internal treasury policies, regulatory guidelines, and risk limits.
Collaborate with banking partners and financial institutions for effective trade execution.
Build and enhance treasury analytics, dashboards, and process automation solutions.
Monitor market developments, interest rate movements, and global economic events impacting currency markets.
Support treasury initiatives related to risk management, capital markets, and trade finance.