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Forex Treasury Specialist

Employer
Nihara HR Services
Location
Chennai Chennai Tamil Nadu, Tamil Nadu, India
Salary
Competitive Salary
Closing date
Apr 18, 2024

View more

Job Role
Treasury
Sector
Finance
Contract Type
Permanent
Hours
Full Time
Forex Treasury Specialist Job Description

Job Summary

The Forex Treasury Specialist is responsible for leading and managing the Forex treasury activities of the company, with a key focus on FX Risk Management. The ideal candidate will have experience in front office FX trading, dealing, monitoring, and managing all Forex deals, as well as hedging foreign currency in forwards, swaps, etc.

Key Responsibilities

  • Conduct front office FX trading on an intra-day and inter-day basis in order to maximize earnings while remaining compliant with relevant regulations.
  • Manage all aspects of front office FX dealing, including monitoring and managing all Forex deals.
  • Hedge foreign currency using various methods, such as forwards, swaps, etc., in order to reduce risk exposure.
  • Arrange Forex solutions based on business requirements.
  • Ensure compliance with RBI and AD Bank policies and procedures.
  • Conduct Forex market research and advise management on key risks and strategy.
  • Monitor all currency risks undertaken by the business.
  • Manage daily banking activities.
  • Manage Forex working capital.
  • Have strong analytical and presentation skills.


Requirements

  • Minimum of 5 years' experience in Forex treasury functions with at least 3 years of experience in FX risk management.
  • Bachelor's degree in a business or finance-related field.
  • Excellent understanding of Forex trading and hedging strategies.
  • Deep knowledge of Forex markets and regulatory framework.
  • Excellent communication and interpersonal skills.
  • Ability to work in a fast-paced environment and make quick decisions under pressure.

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