- 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.