fx-swaps-jobs-in-mysore, Mysore

1 Fx Swaps Jobs nearby Mysore

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posted 2 months ago

Treasury Associate

ThoughtFocus
experience3 to 7 Yrs
location
Mysore, Karnataka
skills
  • Cash Management
  • Treasury
  • Collateral Management
  • Financial Products
  • FX
  • Analytical Skills
  • MS Excel
  • Communication Skills
  • Derivatives Operations
  • Margin Models
  • Reconciliations
  • KYC Requirements
  • Compliance Frameworks
  • ProblemSolving Skills
  • Financial Tools
Job Description
As a Cash Management Specialist at ThoughtFocus, your role involves handling various responsibilities to ensure efficient cash management and support treasury operations. You will be expected to: - Handle margin calls, collateral management, and collateral interest calculations. - Perform cash and position reconciliations across multiple products and platforms. - Execute and monitor internal transfers to ensure timely and accurate settlements. - Collaborate with internal and external stakeholders to resolve discrepancies. - Support KYC documentation and compliance processes. - Provide assistance in FX transactions and related treasury operations. - Identify process gaps and contribute to efficiency improvements within the cash management function. To excel in this role, you should have the following qualifications and skills: - Bachelor's degree in Finance, Accounting, Economics, or a related field. - 3-4 years of relevant experience in cash management, treasury, or derivatives operations. - Strong understanding of margin models, collateral management, and reconciliations. - Knowledge of financial products such as derivatives (futures, forwards, options, swaps), FX, and related instruments. - Exposure to KYC requirements and compliance frameworks. - Strong analytical and problem-solving skills with attention to detail. - Proficiency in MS Excel and other financial tools; familiarity with treasury/settlement systems is an advantage. - Excellent communication skills and the ability to work effectively in a fast-paced environment. About the company: ThoughtFocus is dedicated to helping forward-looking companies and organizations in various sectors innovate and achieve a better future faster. With more than 3,000 employees across five countries, ThoughtFocus delivers innovative technology solutions to enable customers to deploy new capabilities faster, deliver better user experiences, and drive operating efficiencies. The company focuses on executional excellence and mitigating the risks of change. For more information, please visit the company website at www.thoughtfocus.com.,
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posted 2 months ago
experience7 to 11 Yrs
location
Karnataka
skills
  • SQL
  • Python
  • data analysis
  • endtoend trade lifecycle
  • Capital Market products
  • asset classes
  • data modelling
Job Description
As a Product Manager/ Business Analyst in Capital Markets, your role will involve: - Acting as the primary liaison between business stakeholders, trading desks, risk, operations, and technology teams. - Gathering, analyzing, and documenting business and functional requirements across the trade lifecycle. - Providing strong subject matter expertise on financial products including equities, fixed income, FX, derivatives (OTC and exchange-traded), and structured products, with emphasis on their trade lifecycle. - Leading impact analysis, gap assessments, and solution design for trading systems, risk engines, settlement platforms, and their integration across the lifecycle. - Translating complex business needs into clear functional specifications, process flows, and user stories that map directly to trade lifecycle activities. - Supporting project delivery through the entire SDLC, including test case design and UAT for trade lifecycle processes. - Collaborating with vendors/technology partners to evaluate solutions and ensure alignment with the bank's capital markets operating model. - Utilizing your experience with data analysis with advanced knowledge of SQL and Python. - Applying your experience with data modeling (logical and physical data models). Qualifications & Skills: - Education: MBA (Finance) OR professional certification such as CFA / FRM. - Experience: 7-10+ years as a Business Analyst in capital markets serving large investment banks. - Proven expertise in traded products (equities, fixed income, derivatives, FX, structured products). - Skills: - Strong knowledge of the end-to-end trade lifecycle. - Strong knowledge of Capital Market products (such as swaps, options, etc.). - Deep understanding of asset classes (equities, credit, rates, etc.). - Proficiency in SQL and Python. - Experience in data analysis. - Exposure to data modeling tools such as ErWin. - Ability to work in agile delivery environments.,
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posted 1 week ago
experience3 to 8 Yrs
location
Karnataka
skills
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Total Return Swaps
  • TRS
  • Credit Derivatives
  • CVA
  • investment products
  • statistical analyses
  • Asset Classes
  • FVA
  • pricing
  • valuation
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Mark to Market volatility
  • Yield curve parallel
  • point shifts in yield curve
  • security pricing
  • interest rate curves
  • term structure sensitivity
  • risk profitability concepts
  • risk issues
  • programming skills
Job Description
As a member of the Market Risk team at Infosys Limited, your role will involve expanding the team's presence in India to support activities in data management, risk operations, product, and research. Your expertise in working with real-world data and conducting statistical analyses will be crucial for the team's success. We are seeking individuals who are motivated self-starters, team players, eager collaborators, continuous learners, and committed to going the extra mile for our internal and external clients. Key Responsibilities: - Possess at least 3-8 years of experience in market risk measurement within an investment bank or financial institution, with previous exposure to VaR or Credit Risk. - Demonstrate knowledge in Asset Classes, specializing in any 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives, Structured Products. - Exhibit experience and knowledge in Fixed Income and Derivatives, particularly in Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Showcase a basic understanding of pricing and valuation of financial products. - Understand key risk and profitability concepts including Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve parallel and point shifts, etc. - Demonstrate the ability to analyze the price of a security into its various constituent components such as interest rate curves and relevant term structure sensitivity. - Possess a higher degree in finance or related fields, or a professional qualification like CFA, FRM, PRIMA would be advantageous. - Have a general knowledge of risk issues, investment products, and some programming skills. - Ability to work effectively in a team, build strong relationships, and deliver high-quality, accurate work under pressure and tight deadlines. - Willingness to challenge the status quo, question assumptions, and provide alternative approaches. Preferred Skills: - Domain expertise in Financial Risk Management, specifically in Credit Risk Management and Market Risk Measurement & Control.,
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posted 2 months ago

Finance Manager

Infosys Limited
experience5 to 9 Yrs
location
Karnataka
skills
  • Bonds
  • Equities
  • Mutual Funds
  • Structured Products
  • Accounting Reporting
Job Description
As a Treasury Manager, you will be responsible for overseeing daily cash flow liquidity and working capital management to facilitate informed and strategic investment decisions. Your key responsibilities will include: - Managing investments in both marketable and non-marketable securities in strict accordance with the organization's Treasury policy. - Preparing and presenting monthly and quarterly functional reviews, including Management Information System (MIS) reports covering investments, working capital, and other banking operations. - Monitoring various financial limits, ensuring compliance with internal controls as defined by Treasury policies, and maintaining adherence to all relevant regulatory requirements. - Conducting comprehensive research and analysis of debt and financial markets to support treasury and investment strategies. - Leading the end-to-end management of FX risk exposure, including detailed exposure analysis and reporting at group and entity levels. - Identifying, quantifying, and continuously monitoring foreign exchange risk exposures across group companies to ensure effective risk mitigation through appropriate hedging strategies. - Developing and executing robust FX hedging strategies using a wide range of instruments, including derivatives such as forwards, options, and swaps, to optimize risk mitigation and cost efficiency. - Maintaining sound knowledge of FX instruments and derivatives to effectively manage and hedge foreign exchange risk. - Applying a deep understanding of macroeconomic factors and fundamental currency trends, complemented by technical market analysis, to inform risk management decisions. - Providing regular updates and insightful reports to senior management on key parameters such as exposure levels, hedge ratios, and market developments. - Ensuring strict compliance with all regulatory guidelines and internal policies related to FX risk management and trading activities. - Building and nurturing strategic banking relationships to facilitate mutually beneficial arrangements and optimize treasury operations. - Collaborating with internal stakeholders across finance, treasury, and business units to provide timely insights on global market trends and their impact on FX exposures. - Demonstrating proficiency in accounting treatments related to FX activities, ensuring accurate recording and reporting of FX transactions. - Utilizing advanced Excel skills and presentation tools to analyze data, prepare reports, and communicate findings effectively. Your preferred skills for this role include expertise in Finance, specifically in Accounting & Reporting, BONDS, Equities, Mutual Funds, and Structured Products. (Note: Any additional details of the company in the job description have been omitted as no such information was provided.),
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posted 2 months ago
experience2 to 6 Yrs
location
Karnataka
skills
  • Forwards
  • Options
  • Inflation
  • Fundamental
  • Technical knowledge about Currency market
  • Managing foreign currency exposure risks of the bankcorporate
  • Implementation of Risk management policies for foreign exchange related risks
  • Knowledge
  • understanding of International Foreign Exchange market
  • Knowledge of Exposure Tracking
  • maintaining prescribed hedge ratio as per Fx policies
  • Knowledge about FX instruments like Spot
  • Swap
  • their pricing
  • Indepth knowledge about Macro economic factors like GDP
  • Capital flows
  • Unemployment rate
  • Forex Reserves etc
  • Negotiation Skills for improved rates from banks
  • Ability
Job Description
As a Forex Trade Assistant working with the Global Forex desk of ETG in Bangalore, your main responsibility is to focus on Forex Hedging related activities. Your role will involve close collaboration with Treasury teams and Country Finance Controllers across different regions. It is essential for you to possess a strong understanding of Financial Markets, execute trades at optimal prices, monitor market movements, and make FX covers in volatile environments. Key Responsibilities: - Track Forex exposure from countries/ERP/Treasury on a daily basis - Differentiate between hedge-able and non-hedge-able exposure - Collaborate with Trader/Country F.C. to determine the net amount and tenor for FX covers - Check rates with banks, negotiate for competitive pricing, and execute trades at the best available price - Conduct deals on Online Trading platforms whenever applicable - Update Outstanding hedges file in real-time - Monitor maturing hedges and discuss delivery/cancellation/roll-over options with stakeholders - Prepare and distribute a summary report of all deals completed during the day Qualifications required: - CA qualification - Fundamental and Technical knowledge about the Currency market - Ability to manage foreign currency exposure risks of the bank/corporate - Proficiency in implementing Risk management policies for foreign exchange-related risks - Understanding of the International Foreign Exchange market - Knowledge of Exposure Tracking and maintaining prescribed hedge ratio as per FX policies - Familiarity with FX instruments like Spot, Forwards, Options, Swap, and their pricing - Thorough understanding of Macro-economic factors such as GDP, Inflation, Capital flows, Unemployment rate, Forex Reserves, etc. - Strong negotiation skills to secure improved rates from banks - Proficiency in using Reuters/Bloomberg/Ticker and Online Trading platforms In this role, it is important for you to develop robust mid-office and back-office reporting sheets for all FX transactions. You will also be required to provide timely reports to internal stakeholders including Risk, Commodity desks, and Finance teams. As a candidate, you should strive to stay updated with the latest global developments by reading research reports published by various banks. Your success in this position will be driven by your ability to demonstrate strong analytical and rational skills, maintain a positive attitude, understand complex transactions, quickly grasp business knowledge, possess good communication skills, and work effectively as a team player.,
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posted 2 months ago
experience15 to 19 Yrs
location
Karnataka
skills
  • Java
  • OOPS
  • Socket programming
  • Multithreading
  • Oracle SQL
  • PLSQL
  • Jenkins
  • Bitbucket
  • GIT
  • eTrading
  • FXEquity
  • API gateways
  • CICD technologies
  • JFrog
Job Description
You will be part of SSGM Foreign Exchange trading solutions (eFX) team at State Street Global Markets, delivering comprehensive trading solutions for institutional clients. As a hands-on lead developer, your responsibilities will include: - Working with a global development team to design, develop, support, and maintain electronic trading platforms such as MACH and other e-Trading suite of products/platforms. - Having a full stack mentality, writing High Performance/Low Latency code, and possessing good problem-solving skills. - Supporting (L3/L4 support) due to the criticality of the business. - Demonstrating business/domain knowledge and understanding of FX products like Spot, Forward, Swap, Benchmarks, Algos & NDF. - Leading a small team of agile developers and coordinating activities between business analysts, scrum leads, developers, and managers effectively. - Implementing full life-cycle, full stack development tasks and supporting the ongoing evolution of State Street's foreign exchange trading platforms. Core/Must Have Skills: - Hands-on experience in e-Trading (FX/Equity) technology stack using distributed node architecture. - Expertise in server-side Java, message brokers, FIX/Binary API protocols, Oracle SQL, PL-SQL, CI/CD technologies. - Good team player with attention to detail and product/domain knowledge in FX/Equity trading OMS, Execution, products. Good To Have Skills: - Performance tuning of Java applications. You should hold a Bachelor's degree in Computer Science, Computer Engineering, or a similar technical field with about 15+ years of industry experience. The work schedule is hybrid, offering a collaborative environment where technology skills and innovation are valued. The role is crucial for State Street's digital transformation and expanding business capabilities using advanced technologies. State Street is committed to creating a great work environment with competitive benefits packages and development programs to help you reach your full potential.,
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posted 1 week ago

AVP

Societe Generale Global Solution Centre
experience3 to 7 Yrs
location
Karnataka
skills
  • Financial Markets
  • Derivatives
  • Excel
  • PowerPoint
  • VBA
  • Python
  • FX
  • Financial Mathematics
  • Rates
  • Global Current Affairs
Job Description
As a Flow Derivatives Strategist in the Flow Strategy and Solutions (FSS) team, you will play a crucial role in developing trade ideas across flow cross-asset derivatives, particularly focusing on FX and Rates. Your responsibilities will include assisting in generating publication reports, sharing market intel, identifying anomalies, and collaborating with Research, Sales, and Trading teams to produce insightful outputs that enhance the flow platform. Additionally, you will be involved in creating new tools to support business operations using Excel and PowerPoint. **Key Responsibilities:** - Support the FSS team in developing trade ideas for flow cross-asset derivatives - Assist in generating publication reports and sharing market intel - Collaborate with Research, Sales, and Trading teams to produce insightful outputs - Develop new tools using Excel and PowerPoint to support business operations **Qualifications Required:** - Hold a relevant Bachelors or Masters degree in Finance, Engineering, or a similar field - Proficiency in financial mathematics - Previous exposure to FX & Rates asset class is advantageous - Familiarity and experience with derivatives products such as swaps, futures, and options - Strong proficiency in Excel and PowerPoint, with experience in VBA/Python considered a plus - General awareness of global current affairs, macroeconomic, and policy environment - Ability to adapt quickly to challenging situations and find innovative solutions - High standard of written and spoken English is mandatory As part of Socit Gnrale, you will have the opportunity to contribute to shaping the future and making a positive impact through your initiatives. The company values creating, daring, innovating, and taking action. If you seek a stimulating and caring environment where you can grow, feel useful, and develop your expertise, you will find a home with us. Furthermore, Socit Gnrale employees have the chance to dedicate several days per year to solidarity actions during working hours, including sponsoring individuals struggling with orientation or professional integration, participating in the financial education of young apprentices, and sharing skills with charities. The company is committed to supporting the acceleration of its ESG strategy by implementing ESG principles in all activities and policies. Join us to be part of a diverse and inclusive environment where your contributions can make a difference.,
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