Manager Treasury - Front Office

Job Boosts

Mumbai

On-site

INR 3,000,000 - 5,500,000

Full time

9 days ago

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Job summary

Job Boosts in Mumbai seeks an experienced treasury professional to progress from Treasury Operations and MIS into Front Office Treasury / Trading roles. The ideal candidate will have hands-on experience in treasury front-end activities, hedging, treasury deals/trades, liquidity management and financial markets.

The role involves managing Treasury Operations and Treasury MIS, executing Treasury deals/trades, hedging activities across FX, interest rate, commodities, monitoring liquidity and market

Qualifications

  • 7–10 years of progressive experience in Treasury.
  • MBA/MFA in Finance or equivalent qualification.
  • Hands-on experience in Hedging and Treasury Deals/Trades.
  • Experience in Treasury Operations and Treasury MIS.
  • Strong understanding of Financial Markets and Liquidity Management.

Responsibilities

  • Manage and support Treasury Operations and Treasury MIS activities.
  • Execute and manage Treasury deals and trades across relevant treasury products.
  • Handle hedging activities, including FX, Interest Rate, Commodity or other applicable treasury products.
  • Monitor and manage liquidity and treasury exposures.
  • Analyse financial markets, treasury products and associated risks.
  • Support Front Office Treasury / Trading activities and market operations.
  • Prepare and monitor treasury-related reports and MIS.
  • Coordinate with banks, financial institutions and internal stakeholders for treasury transactions.
  • Ensure timely execution and monitoring of treasury transactions.
  • Provide analytical insights on treasury positions, market movements and risk exposure.

Skills

Treasury Operations
Treasury MIS
Front Office Treasury / Trading
Hedging
Liquidity Management
Financial Markets
Stakeholder Management

Education

MBA / MFA in Finance

Job description

Manager Treasury Operations

Location: Mumbai
Experience: 7–10 Years
Qualification: MBA / Masters in Finance (MFA/MBA Finance or equivalent)

Job Summary

We are looking for an experienced Treasury professional with a strong progression in Treasury functions, starting with Treasury Operations and MIS and subsequently moving into a Front Office Treasury / Trading role.

The ideal candidate should have hands‑on experience in treasury front‑end activities, hedging, treasury deals/trades, liquidity management and financial markets, preferably within banks, equity/broking firms or financial services organizations.

Key Responsibilities
  • Manage and support Treasury Operations and Treasury MIS activities.
  • Execute and manage Treasury deals and trades across relevant treasury products.
  • Handle hedging activities, including FX, Interest Rate, Commodity or other applicable treasury products.
  • Monitor and manage liquidity and treasury exposures.
  • Analyse financial markets, treasury products and associated risks.
  • Support Front Office Treasury / Trading activities and market operations.
  • Prepare and monitor treasury-related reports and MIS.
  • Coordinate with internal stakeholders, banks and financial institutions for treasury transactions.
  • Ensure timely execution and monitoring of treasury transactions.
  • Provide analytical insights on treasury positions, market movements and risk exposure.
Required Skills & Experience
  • 7–10 years of progressive experience in Treasury.
  • Strong experience in Treasury Operations and Treasury MIS during the initial career.
  • Demonstrated progression into Front Office Treasury / Trading.
  • Hands‑on experience in Hedging.
  • Experience in executing and managing Treasury Deals / Trades.
  • Strong understanding of Treasury Products, Financial Markets and Risk Management.
  • Exposure to Liquidity Management and Market Operations.
  • Strong analytical and stakeholder management skills.
  • Ability to coordinate effectively with banks, financial institutions and internal stakeholders.
Preferred Industry Background

Candidates from the following backgrounds will be preferred:

  • Banks with exposure to Treasury MIS + Treasury Operations + Front Office Treasury.
  • Equity / Broking Firms with Treasury Trading experience.
  • Financial Services Organizations with active Treasury Front Office operations.
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