• Performs market research, analyzes market conditions, understand trends and able to analyse technical charts
• managing daily trading to ensure timely execution of the orders and confirming that they are in compliance with regulatory policies
• develops a trading strategy based on current market scenarios to pick right instruments
• documents information on each trade, while ensuring that all documents and account records are up to date
• maintaining and updating inventory records of fixed-income securities
• identifies and leverages opportunities by developing innovative trading ideas and making entry into new markets.
• understand the valuation of fixed income investment and their payoffs
• Dealing in money market securities such as Certificate of deposits, Commercial Paper, Treasury Bills etc.
• Dealing in Govt. Securities, Corporate Bonds and Equities
• Understand financials of companies and able to analyse the impact of change in policy.
• Ensures compliance with internal controls, policies and procedures in day-to-day conduct.
• Identifies profit maximizing opportunities related to treasury.
• Documenting and communicating the results of your efforts
• Effecting communicating your insights and plans to cross functional team members and management
• Effectively allocating resources and maintaining cost efficiency
• Produce various daily, weekly and month-end reports for management and trading desk
• Updating, implementing and maintaining procedures
• Prioritizing initiatives based on business needs and requirements
· Robust numeracy skills.
· Excellent communication and interpersonal skills
· ness and decisiveness under pressure
· Knowledge of banking products, Debt Capital Markets and Treasury function
· Quantitative and analytical skills
· Proficient with MS Office Applications like advance Excel & Power point Presentations
· Should possess the ability to handle a variety of responsibilities under pressure and in a given timeline