- To support treasury operations through evaluation of treasury transactions, monitoring of operational risk indicators, assessment of control effectiveness and review of compliance with regulatory and internal risk frameworks.
- The role provides analytical inputs to support effective treasury operations, risk mitigation and operational decision-making.
Responsibilities
- Verify and authorize FX Interbank deals including Cash, Tom, Spot, Forward, Swap, and FX Deposit transactions.
- Process and monitor FX payments and settlements across multiple currencies and counterparties.
- Ensure timely settlement of treasury transactions through CCIL and other settlement platforms.
- Perform Nostro account reconciliation and investigate exceptions for timely resolution.
- Monitor FX fund positions and support ALM-related operational activities.
- Oversee inward remittance processing and ensure compliance with applicable regulations.
- Prepare and submit regulatory returns, including R-Returns and other Forex-related reports.
- Coordinate with treasury dealers, correspondent banks, and internal stakeholders for seamless transaction processing.
- Ensure adherence to internal policies, regulatory guidelines, operational controls, and audit requirements.