Treasury Specialist (Mumbai)

Treasury Specialist (Mumbai)

16 Aug
|
Standard Chartered
|
Mumbai

16 Aug

Standard Chartered

Mumbai

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- Requisition Number: 58615
Job Location: Mumbai, IND
Global Grade: Band 6
Work Type: Office Working
Employment Type: Permanent
Posting Start Date: 18/07/2026
Posting End Date: 01/08/2026
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Job Summary

Key Responsibilities

Strategy
- Responsible for driving the overall business performance and efficiency - Maximize returns on products across in the portfolio allocated, Develop and implement Risk Management Strategies spanning the entire Treasury Product Suite for a portfolio of customers in the region

Business
- Retail Banking FX Business

Processes
- Adhere to the applicable processes

People & Talent
- Lead through example and build the appropriate culture and values. Set appropriate tone and expectations from their team and work in collaboration with risk and control partners

Risk Management
- Responsibilities relating to identifying,



assessing, monitoring, controlling and mitigating risks to the Group, as well as an awareness and understanding of the main risks facing the Group and the role the individual plays in managing them. For example -The ability to interpret the Group’s financial information, identify key issues based on this information and put in place appropriate controls and measures. All responsibilities under the Risk Management Framework - both execution and supervisory - should be referenced, for example, Act as the [Process] risk control owner under the Group’s Risk Management Framework (including relevant Operational Risk Framework ownership for [Liquidity] risk

Governance
- Responsibilities relating to the direction, planning, structure, frameworks (e.g. processes and policies) and oversight. For example, Responsible for assessing the effectiveness of the Group’s arrangements to deliver effective governance, oversig

📌 Treasury Specialist (Mumbai)
🏢 Standard Chartered
📍 Mumbai

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