Senior Manager

Adani

Mumbai

Sur place

INR 1 200 000 - 2 300 000

Plein temps

Il y a 2 jours
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Résumé du poste

Adani seeks an experienced FX Risk Manager to oversee exposure tracking, hedging execution, and market analysis across the organization. You will coordinate with banks and internal teams to ensure compliant FX operations and timely reporting.

The role requires 5–8 years in FX risk management or trading, with a Finance/Economics/Business degree and CFA/FRM preferred. Mumbai-based role with on-site responsibilities and collaboration with treasury and risk units.

Qualifications

  • 5-8 years in foreign exchange risk management or trading roles.
  • Bachelor's Degree in Finance, Economics, or Business.
  • CFA or FRM certifications preferred.

Responsabilités

  • Identify and track FX exposures across the organization.
  • Support hedging strategies to mitigate currency risks.
  • Monitor currency market movements and macro trends affecting FX.
  • Evaluate hedging effectiveness and suggest optimizations.
  • Prepare reports on FX positions and market conditions.

Connaissances

FX risk management
Market monitoring
Hedging strategies
Stakeholder communication

Formation

Bachelor's degree in Finance/Economics/Business
CFA or FRM preferred

Outils

Regulatory systems
Trading platforms

Description du poste

Assist in identifying and tracking FX exposures across the organization.

Support the execution of hedging strategies to mitigate currency risks.

Monitor currency market movements, macroeconomic trends, and central bank policies impacting FX operations.

Help evaluate the effectiveness of hedging strategies and provide inputs for optimization.

Prepare reports on FX positions, hedging effectiveness, and market conditions for internal stakeholders.

Assist in executing FX transactions, including spot, forward, and derivative contracts.

Coordinate with banks, brokers, and financial institutions to ensure smooth trade execution.

Support the reconciliation of FX trades and settlements in collaboration with the middle and back office.

Maintain accurate records of FX transactions and ensure proper documentation for audits and compliance.

Compliance & Regulatory Support:

Ensure FX operations comply with RBI, FEMA, and internal treasury policies.

Assist in preparing documentation for regulatory filings, audits, and risk reviews.

Help monitor adherence to internal FX risk policies and report any deviations.

Maintain records of FX contracts and regulatory submissions to ensure transparency and governance.

Stakeholder Coordination & Reporting:

Work closely with business units, finance, and risk management teams to align FX strategies with operational needs.

Support engagement with banks, brokers, and external advisors for trade execution and market insights.

Assist in training and guiding internal teams on FX processes, policies, and compliance requirements.

Provide timely updates on FX market movements, trade performance, and risk exposures to senior team members.

Key Stakeholders - Internal

Corporate Finance team

Banking team

Taxation team

Legal team

Key Stakeholders - External

Banks

Brokers

FX Consultants

Regulators

Qualifications

Educational Qualification:

Bachelor's Degree in Finance, Economics, or Business

Relevant certifications like CFA or FRM preferred

Work Experience (Range of years):

5-8 years in foreign exchange risk management or trading roles

Job Info
  • Job Identification 55015
  • Posting Date 07/22/2026, 12:36 PM
  • Locations Inspire BKC Main Road, Mumbai, Maharashtra, 400051, IN
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