Overview

Job description:

1. Monitor and manage the company’s currency, interest rate exposure in conformity with regulatory guidelines

2. Hedging of foreign exchange and interest rate exposure of TSUK, TSN and Other Overseas Subsidiaries.

3. Lowering transaction cost by using various hedging techniques

4. Greater awareness of fundamentals leading to balanced market views

5. Tracking the prices, news and developments of various asset classes in domestic and international market which might have a bearing on the price of foreign exchange, interest rate and commodity.

6. Thorough understanding of various regulatory guidelines pertaining to risk management

7. Initiatives for improvement of systems and processes. Digitisation of processes

Skills:

Technical Competencies:

– Understanding of the foreign exchange and interest rate market

– Hedging techniques

– Data Analysis

– Market review and analysis Behavioural Competencies

– Drive for result

– Collaboration

– Negotiation Skill

– Functional Excellence

– Influencing & Networking

Other details: CA/ICWA or MBA in Finance or CFA