swaps-jobs-in-karimnagar, Karimnagar

6 Swaps Jobs nearby Karimnagar

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posted 2 months ago
experience1 to 5 Yrs
location
Hyderabad, Telangana
skills
  • Economics
  • Statistics
  • Finance
  • Data analysis
  • Statistical analysis
  • Data modeling
  • PCA
  • Technical analysis
  • Data manipulation
  • Physical market developments
  • Financial market analysis
  • Market strategies
  • Risk strategies
Job Description
Role Overview: As a Research Analyst at this company, your main responsibility will be to track fundamental themes in energy markets globally, including crude oil and refined products, and conduct scenario analysis. You will be required to understand physical market developments worldwide and predict future trends. Your role will involve collaborating with Financial Market Analysts to develop technical solutions, create market strategies, and design tools to aid quick decision-making. Additionally, analyzing money flow, monitoring data points for anomalies, and focusing on improving team performance will be part of your responsibilities. Key Responsibilities: - Track fundamental themes in energy markets globally - Conduct scenario analysis - Understand physical market developments worldwide - Predict future trends - Collaborate with Financial Market Analysts to develop technical solutions - Create market strategies - Design tools to aid quick decision-making - Analyze money flow - Monitor data points for anomalies - Focus on improving team performance Qualifications Required: - Graduation or Post Graduation in Economics, Statistics, Finance, or a related field - 1-5 years of experience in European/ US commodities research, swaps desk, or trading desk at a mid-sized I-Bank or Hedge Fund preferred - Strong understanding of physical markets of Commodities/Energy markets - Excel-based modeling experience and familiarity with risk strategies involving futures/options/swaps preferred - Strong analytical skills with a focus on fundamental analysis of Commodities/Energy markets - Proficiency in statistics, data modeling, PCA, and technical analysis - Experience in data manipulation techniques, particularly with financial market data - Ability to work collaboratively, prioritize tasks, and manage user expectations effectively,
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posted 2 months ago
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • Desktop Administration
  • Software Installation
  • Problem Resolution
  • Microsoft Exchange
  • Active Directory
  • Troubleshooting
  • Hardware Maintenance
  • Documentation
  • Process Automation
  • Systems Maintenance
  • Server Applications
Job Description
As a Desktop Administrator II at the company, you will be responsible for maintaining and managing distributed desktop and laptop systems and software. Your duties will include installation, configuration, preventive maintenance, operation, and problem-resolution activities. - Create a positive team experience - Assist in the installation, maintenance, and general support of systems - Assist users with questions or problems - Assist with system backups, recovery, and installation of new software - Train employees, identify, analyze, and repair product failures, and order/replace parts as needed - Proactively update work status and liaise between the US and India - Determine and recommend products/services that best fit customers" needs - Administer Microsoft Exchange mailboxes and users in active directory - Install, configure, and troubleshoot server applications and racks for servers - Administer Active Directory and DNS, including troubleshooting - Administer print subsystems, electronic software, and patch distribution - Administer PC auditing function - Install, troubleshoot, and maintain products and equipment - Conduct testing and assist in general lab work - Diagnose and repair desktop and laptop hard drives, monitors, and printers - Assist system administrators with technical tasks and support hardware modules and systems - Coordinate, move, and reconnect computer equipment - Maintain hardware inventory, spare-parts log, and work log - Complete server hardware installation and swap-out - Document and maintain system configurations for disaster recovery - Set and maintain Firm standards for desktop operating systems and software applications - Ensure desktop software license compliance - Contribute to efficiency improvements through process automation - Assist with other projects as needed - High-school diploma or general equivalency diploma (GED) with two to four years of related desktop administration experience - Basic knowledge of Microsoft Word and Access - Intermediate knowledge of Microsoft Excel, Outlook, Internet navigation, research, systems administration tools, scripting, and automation tools - Valid driver's license required - User Operating Systems, Microsoft Exchange, and Active Directory certifications preferred *Note: Ryan is an Equal Opportunity Employer. They offer a Global Award-Winning Culture, Flexible Work Environment, Generous Paid Time Off, World-Class Benefits and Compensation, Rapid Growth Opportunities, and Company Sponsored Two-Way Transportation, promoting exponential career growth.*,
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posted 1 week ago
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • Workforce Management
  • WFM
  • Quality Assurance
  • Data Analysis
  • Communication Skills
  • Trust Safety
  • Metrics
  • Reporting
Job Description
Role Overview: As a Workforce Services Analyst at Accenture, your main responsibility will be to enable a superior brand experience, accelerate responsible growth, and create a secure environment through workforce management processes. You will be involved in maintaining a productive workforce by managing field service, human resources, performance, training, data collection, recruiting, budgeting, forecasting, scheduling, and analytics. Key Responsibilities: - Monitor daily operational metrics such as SLA/KPIs/Adherences in real-time - Publish real-time reports for performance monitoring and coordinate with internal/external stakeholders as required - Prepare RCA, maintain downtime trackers, propose schedule changes, and act on roster swap/week off swap/break swap requests - Deliver timely ad hoc and standard operational reports - Collaborate with process subject matter experts from each functional team - Assist in designing insightful report views using Excel-based tools, tool-based systems, or dashboards - Provide regular and ad-hoc results interpretation to Accenture management - Utilize data to identify trends and opportunities for improvement - Work with other teams and stakeholders to improve performance results in alignment with contractual agreements - Perform Quality Assurance on reporting analysis conducted by other reporting groups Qualifications Required: - Graduate with at least 2 years of experience in metrics and reporting - Excellent oral and written communication skills - Proficiency in working with WFM tools, applications, and functions is preferred Additional Company Details: Accenture is a global professional services company with leading capabilities in digital, cloud, and security. With a workforce of 699,000 people serving clients in over 120 countries, Accenture offers Strategy and Consulting, Technology and Operations services, powered by the world's largest network of Advanced Technology and Intelligent Operations centers. The company embraces change to create value and shared success for clients, people, shareholders, partners, and communities. Visit www.accenture.com for more information. Please note that as a Workforce Services Analyst at Accenture, you will be required to work in a 24*7 environment with rotational shifts and week offs.,
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posted 2 months ago
experience3 to 7 Yrs
location
Hyderabad, Telangana
skills
  • Network Testing
  • Risk Assessment
  • Test Scenarios
  • Documentation
  • Training
  • Reporting
  • SQL
  • Oracle
  • Tariff Configuration
  • Internal Compliance Monitoring
  • Network Requirements Evaluation
  • Crossfunctional Team Coordination
  • Agreements Validation
  • Network Elements Swap
  • SLA Adherence
  • Quality Standards Maintenance
  • Telecom Knowledge
  • MSExcel
Job Description
Role Overview: You will be responsible for the execution of New Product & Services implementation activities, Tariff Configuration, and Network Testing. Your key responsibilities will include: - Monitoring Internal Compliance - Evaluating conceptual requirements and assessing risks - Evaluating Network requirements and understanding product conceptually - Evaluating Solutions shared by IT and assessing impact - Contemplating Test Scenarios based on Call flows and Network Architecture - Validating test scenarios output - Having in-depth knowledge on Wireline data/Wireline switches - Ensuring proper usage type values stamping in AMD - Coordinating with cross-functional teams and escalating deviations - Validating agreements with partners - Involving in Swap of Network elements - Documenting and training RA operations resources - Ensuring SLA adherence for NPI projects/products - Ensuring highest quality standards in output - Avoiding observation lapses resulting in revenue loss - Adhering to Reporting and escalations to Senior Management Qualification Required: - MBA / B Tech / B Com Qualified - Minimum of 3 years of relevant work experience - Knowledge of Telecom and Service Industry - Good communication & co-ordination skills - Ability to identify potential risks - Good working knowledge in MS-Excel/SQL/Oracle About the Company: Tata Tele Business Services (TTBS), belonging to the prestigious Tata Group of Companies, is the country's leading enabler of connectivity and communication solutions for businesses. TTBS offers the largest portfolio of ICT services for businesses in India. TTBS continues to garner recognition from customers and peers alike for its customer-centricity and innovation. TTBS values its people and believes in nurturing and mentoring them to rise into leadership roles while upholding ethics and values.,
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posted 2 months ago
experience3 to 8 Yrs
location
Telangana
skills
  • Rollout
  • Support
  • upgrade
  • enhancements
  • Credit Management
  • Risk Management
  • Mark to Market
  • Portfolio management
  • Market risk
  • Collections Management
  • Dispute Management
  • Customer Handling
  • Presentation Skills
  • Endtoend Implementation
  • Treasury module
  • Standby
  • Documentary LC
  • FSCM functionalities
  • SAPFSCM
  • Hedging instruments
  • Commodity Swap
  • Credit risk reporting
  • Biller Direct
  • Financial trade Treasury requirements
  • Market risk analysis
  • S4 HANA
  • crossfunctional areas
Job Description
As a SAP TRM/FSCM Functional consultant in the IT Advisory Services team at EY, you will have the opportunity to work on various SAP Implementation projects for customers across the globe. Your role will involve working as a team member in different phases of ongoing projects, interacting with onsite coordinators, completing assigned tasks on time, and providing regular status reports to the manager/lead. Key Responsibilities: - Work as a team member in various phases of SAP Implementation Projects - Interact and communicate effectively with onsite coordinators - Complete assigned tasks on time and provide regular status reports to the manager/lead Qualifications Required: - CA/ICWA (ICMA)/MBA Finance from a reputed institution - 3 to 8 years of industry/domain experience with relevant SAP experience At EY, we are dedicated to building a better working world by creating long-term value for clients, people, and society while fostering trust in the capital markets. With diverse teams in over 150 countries, we provide assurance and help clients grow, transform, and operate in various sectors including assurance, consulting, law, strategy, tax, and transactions. Join us in asking better questions to find new answers for the complex issues facing our world today.,
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posted 2 weeks ago

Hedging Manager

Premier Energies Limited
experience5 to 9 Yrs
location
Hyderabad, Telangana
skills
  • Risk Management
  • Financial Instruments
  • Derivatives
  • Market Analysis
  • Compliance
  • Financial Risk Management
  • Treasury Management
  • Hedge Accounting
  • Stakeholder Management
  • Hedging Strategies
Job Description
Role Overview: As a Hedging Manager at Premier Energies, you will be responsible for leading the risk management and hedging activities across various financial exposures, including interest rates, foreign exchange, and commodities. Your role will involve developing and implementing hedging strategies, managing financial instruments, and ensuring compliance with risk management policies and regulatory standards. Key Responsibilities: - Develop and execute risk management strategies to mitigate exposure to interest rates, foreign exchange, and/or commodity prices. - Monitor market conditions and economic indicators that could impact exposure and hedge performance. - Manage the use of derivatives and financial instruments (e.g., futures, options, swaps) in accordance with internal risk limits and external regulations. - Collaborate with finance, treasury, procurement, and business units to understand exposure and align hedging strategies with business objectives. - Analyze the effectiveness of current hedging strategies and adjust them as needed. - Prepare regular reports for senior management on hedge performance, exposure levels, and market developments. - Ensure compliance with internal policies, accounting standards (e.g., IFRS 9 or ASC 815), and external regulatory requirements. - Support audit processes and documentation related to hedging activities. - Partner with banks and financial institutions to execute hedging transactions. Qualifications: - Bachelor's degree in Finance, Economics, Accounting, or a related field; MBA or relevant professional certification (e.g., CFA, FRM, CTP) is a plus. - 5+ years of experience in financial risk management or treasury, with a focus on hedging activities. - Strong understanding of derivative products, financial markets, and risk assessment. - Experience with treasury and risk management systems (e.g., Bloomberg, Reval, SAP TRM). - Knowledge of hedge accounting principles and practices. - Analytical mindset with excellent problem-solving and decision-making skills. - Strong communication and stakeholder management skills. Note: The company, Premier Energies, is a pioneer in the solar manufacturing space and one of the fastest growing large solar companies in India. Premier Energies offers solar products and solutions globally and has been certified as a "GREAT PLACE TO WORK" for 4 consecutive years. With a market cap of $5Bn+ and a young & dynamic workforce, Premier Energies is positioned to be a global leader in the future.,
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posted 3 weeks ago

Business Analyst

TRISTHA GLOBAL PRIVATE LIMITED
experience6 to 8 Yrs
location
Chennai
skills
  • currency
  • swaps
  • derivatives
  • forex
  • money market
  • business
  • treasury
  • rate
  • cross
  • fixed
  • income
  • analyst
Job Description
Job Role: Business Analyst Location: Chennai Work mode: WFO  Experience: 6 to 8 years Notice Period: Immediate to 45 days  About Tristha Global: Tristha Global is an India-based software services company and Quality Assurance company that focuses broadly on the BFSI sector. We provide end-to-end test automation, testing services and test management tools for businesses that focus on financial services. Roles and Responsibilities: As a Business Analyst (Treasury) you will manage Analyze and document business requirements to support treasury operations. Collaborate with various departments and stakeholders to ensure project success. This role requires strong analytical, communication, and problem-solving skills In-depth knowledge of treasury operations and financial instruments Strong analytical, quantitative, and problem-solving skills. Excellent communication, stakeholder management, and presentation abilities. Ability to work in a fast-paced, cross-functional environment. Mandatory Skills: 6-8 years of experience into Treasury modules. Any treasury application Exposure. Exposure of Money Market, Forex, Fixed income, and Derivatives. Exposure of Interest Rate Swaps, Cross currency swaps, Repo- Reverse repo, Bond & Derivatives. Experience as Business Analyst. Good hand on experience into manual testing. Excellent communication skills. If you possess the mandatory skills and relevant experience, we invite you to share your updated resume with us. Please reach us at: career@tristhaglobal.com
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posted 2 months ago

SAP Finance - Treasury

NuStar Technologies
experience3 to 7 Yrs
location
All India
skills
  • Treasury Management
  • Credit Risk Analysis
  • Financial Risk Management
  • Cash Flow Management
  • Swaps
  • S4HANA
Job Description
As an S/4HANA Expert specializing in Advanced Treasury Management activities and Credit Risk Analyzer, your role will involve handling hedging activities to manage financial risks effectively, executing interest rate management strategies to optimize returns, and implementing advanced treasury features for efficient cash flow management. Qualifications required for this role include: - Proficiency in S/4HANA Treasury Management module - Strong understanding of credit risk analysis - Experience in utilizing treasury tools like swaps and other financial instruments,
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posted 2 weeks ago

Treasury Test Engineer

Tristha Global Pvt. Ltd.
experience3 to 7 Yrs
location
All India, Chennai
skills
  • Money Market
  • Forex
  • Fixed income
  • Derivatives
  • Interest Rate Swaps
  • Manual testing
  • Communication skills
  • Treasury modules
  • Treasury application
  • Cross currency swaps
  • Repo Reverse repo
  • Bond Derivatives
Job Description
As a Test Engineer in our company, your role will involve testing Treasury modules with a focus on various financial aspects such as Money Market, Forex, Fixed income, and Derivatives. Your responsibilities will include: - Having 3-6 years of experience in Treasury modules. - Being familiar with any treasury application. - Demonstrating exposure to Money Market, Forex, Fixed income, and Derivatives. - Having knowledge of Interest Rate Swaps, Cross currency swaps, Repo- Reverse repo, Bond & Derivatives. - Possessing strong manual testing skills. - Demonstrating good communication skills. There are no additional details about the company provided in the job description. As a Test Engineer in our company, your role will involve testing Treasury modules with a focus on various financial aspects such as Money Market, Forex, Fixed income, and Derivatives. Your responsibilities will include: - Having 3-6 years of experience in Treasury modules. - Being familiar with any treasury application. - Demonstrating exposure to Money Market, Forex, Fixed income, and Derivatives. - Having knowledge of Interest Rate Swaps, Cross currency swaps, Repo- Reverse repo, Bond & Derivatives. - Possessing strong manual testing skills. - Demonstrating good communication skills. There are no additional details about the company provided in the job description.
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posted 2 months ago
experience3 to 7 Yrs
location
All India
skills
  • Bitcoin
  • Rust
  • Blockchain integrations
  • Wallet systems
  • Decentralized application components
  • Ethereum
  • HD wallet standards
  • DEX aggregators
  • Crypto asset transfers
  • APIs for blockchain explorers
  • Nodejs
  • ethersjs
  • web3js
  • bitcoinjslib
  • Wallet libraries
  • Encryption protocols
  • Token swaps
  • Decentralized finance DeFi
  • Backend API development
  • Blockchain data handling
  • Smart contract development
  • Solidity
  • Custodial wallet architectures
  • Multiparty computation MPC
  • Threshold signature schemes TSS
  • DevOps tools
Job Description
As a Blockchain Developer at AlgorithmX, your role involves designing secure blockchain integrations, wallet systems, and decentralized application components across multi-chain environments like Ethereum and Bitcoin. Key Responsibilities: - Develop and maintain blockchain integrations across Ethereum, Bitcoin, and multi-chain protocols. - Implement secure wallet architectures using HD wallet standards such as BIP39/32/44. - Design backend systems to encrypt and manage user seed phrases securely, ensuring admin-controlled recovery access for internal wallets. - Integrate token swap functionality using DEX aggregators like 1inch or Uniswap. - Develop on-chain transaction flows for crypto asset transfers, fee handling, and token management. - Build and integrate APIs for blockchain explorers, DEXs, and crypto-related services. - Collaborate with backend engineers to maintain highly secure, scalable, and reliable infrastructures. - Conduct thorough testing (unit, integration, security) for all blockchain modules. - Stay updated with the latest Web3 innovations, standards, and security practices. Qualifications Required: - 3+ years of experience as a Blockchain Developer working in production-grade systems. - Strong knowledge of Ethereum and Bitcoin ecosystems. - Expertise with Node.js, ethers.js, web3.js, bitcoinjs-lib, and wallet libraries. - Solid understanding of wallet creation, key/seed phrase management, and encryption protocols like AES-256, Argon2. - Experience in integrating token swaps and interacting with decentralized finance (DeFi) platforms. - Proficiency in backend API development and blockchain data handling. - High security consciousness with knowledge of secure storage, key rotation, and audit logging practices. Additionally, exposure to smart contract development (Solidity or Rust), experience working with custodial or semi-custodial wallet architectures, knowledge of multi-party computation (MPC) and threshold signature schemes (TSS), and familiarity with DevOps tools for blockchain deployment and vault management would be considered advantageous. Join AlgorithmX in building secure and innovative AI and blockchain-powered solutions as a Blockchain Developer!,
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posted 2 months ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Asset Classes
  • Total Return Swaps TRS
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Yield curve
  • Parallel shifts in yield curve
  • Point shifts in yield curve
Job Description
As an experienced market risk professional with 3-8 years of experience in market risk measurement within an investment bank or other financial institution, you must have previous VaR or Credit Risk experience. Your knowledge in Asset Classes should include at least 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives & Structured Products. Your role will require experience and knowledge of Fixed Income and Derivatives, especially Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA etc. It is essential to have a basic understanding of pricing and valuation of these products. You should also have an understanding of key risk/profitability concepts such as Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve, parallel and point shifts in yield curve etc. Ideally, you should hold a higher degree in finance or a related area, or a professional qualification such as CFA, FRM, PRIMA. General knowledge of risk issues and investment products, along with some programming skills, would be desirable. Your ability to work well in a team, build relationships, produce high-quality work under pressure and tight deadlines, question the status quo, and provide alternative approaches will be crucial in this role.,
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posted 1 week ago
experience10 to 14 Yrs
location
Tamil Nadu, Coimbatore
skills
  • Equities
  • FX
  • Options
  • Swaps
  • Risk systems
  • SQL
  • Advanced Excel
  • Python
  • SWIFT messaging
  • Documentation
  • Trading Product Knowledge
  • Fixed Income Bonds
  • Derivatives Futures
  • Trade lifecycle management
  • Market data concepts
  • Tools Platforms
  • OMSEMS platforms
  • Portfolio management systems
  • Data Analytics
  • Data visualization tools
  • Integration Interfaces
  • FIX protocol
  • APIbased integrations
  • General Skills
  • AgileScrum environments
  • Regulatory awareness
Job Description
As an experienced Business Analyst with 10+ years of Investment Banking domain expertise, your role will involve supporting financial systems, trading workflows, regulatory initiatives, and technology modernization programs. You should possess strong functional knowledge of front-office, middle-office, and back-office investment banking operations along with hands-on exposure to technical tools, data analysis, and process automation. Key Responsibilities: - Act as the primary liaison between business stakeholders, product teams, and technology teams for investment banking initiatives. - Gather, analyze, and document business requirements (BRD, FRD, User Stories) for trade lifecycle processes and financial products. - Work on regulatory and compliance-driven projects such as MiFID II, EMIR, Dodd-Frank, FATCA, KYC/AML, and risk reporting. - Support system enhancements for Front Office Trading Platforms, Order Management Systems (OMS), and Execution Management Systems (EMS). - Perform detailed gap analysis, impact analysis, workflow mapping, and data flow documentation. - Coordinate with QA teams for test case preparation, UAT management, defect tracking, and production validation. - Partner with technology teams for solution design involving pricing systems, risk engines, market data feeds, and downstream settlements systems. - Analyze large datasets to support decision-making for trading, operations, and compliance teams. - Prepare dashboards, MIS reports, and regulatory reporting summaries. - Ensure process improvement, automation, and operational efficiency across trade lifecycle functions. - Facilitate user training, knowledge transfer, and documentation for system rollouts. Technical Expertise Required (Investment Banking Specific): - Trading & Product Knowledge: Equities, Fixed Income (Bonds), FX, Derivatives (Futures, Options, Swaps), Trade lifecycle management. - Tools & Platforms: Experience with OMS/EMS platforms, exposure to risk systems, familiarity with portfolio management systems. - Data & Analytics: SQL, Advanced Excel, Knowledge of Python, Experience with data visualization tools. - Integration & Interfaces: Understanding of FIX protocol, SWIFT messaging, trade feeds, reconciliation tools, Experience with API-based integrations. General Skills: - Strong analytical and problem-solving abilities. - Excellent communication and stakeholder management. - Experience working in Agile/Scrum environments. - Ability to prepare clear documentation (BRD, FRD, Use Cases, Process Flows). - High attention to detail and regulatory awareness. Qualifications: - Bachelors/Masters degree in Finance, Business, Economics, Engineering, or related field. - Minimum 10 years of experience as a Business Analyst in Investment Banking or Capital Markets. - Relevant certifications (optional): CFA (Level 1/2 preferred), FRM, Certified Business Analyst Professional (CBAP), Investment Banking domain certifications. Please note that the Job Type is Full-time with benefits including health insurance, paid sick time, and Provident Fund. The work location is in person at Coimbatore.,
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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 1 month ago

Head of Research

Kerala Blockchain Academy
experience2 to 6 Yrs
location
Kerala, Thiruvananthapuram
skills
  • Bitcoin
  • money markets
  • interest rate swaps
  • dApps
  • cryptoeconomic security
  • decentralized application architectures
  • L1 consensus mechanisms
  • Optimistic
  • ZKrollup settlement models
  • BitVM2 settlement on Bitcoin
  • Slashable safety mechanisms on Babylon
  • Restaking protocols
  • DeFi protocols
  • AMMs
  • perpetual protocols
Job Description
As a leading provider of shared security for Bitcoin, our client enables the power of the world's top economic collateral. Founded by serial entrepreneurs from MIT, Stanford, and YC, backed by top crypto leaders, they are looking for a highly skilled individual to join their team in a dynamic environment. **Key Responsibilities:** - Design crypto-economically sound architectures with partner protocols - Research and write blog articles on emerging BVS use cases and core protocol mechanics - Investigate new AVS projects and networks to analyze their architecture and cryptographic security assumptions - Write technical litepapers covering various protocol aspects such as slashing mechanisms, tokenomics, and more - Contribute to academic whitepapers demonstrating the protocols correctness and reliability **Key Requirements:** - Masters degree or equivalent experience in a technical or engineering field - Published technical or academic papers in peer-reviewed journals - Comprehensive knowledge of various decentralized application architectures - L1 consensus mechanisms - Optimistic and ZK-rollup settlement models - BitVM2 settlement on Bitcoin - Slashable safety mechanisms on Babylon - Restaking protocols (e.g., Eigenlayer) - Familiarity with DeFi protocols such as money markets, interest rate swaps, AMMs, perpetual protocols, etc. - Bonus if you can creatively explore how to re-implement these protocols as BVSes If selected for this role, you can expect: - The opportunity to work with a team of motivated, skilled colleagues with proven track records - Engagement with pioneering work in the Bitcoin space - A flexible, collaborative work environment with full autonomy in decision-making - A competitive salary package, including a blend of tokens and other benefits To apply, please complete the Rockrose Job Application Form and submit your CV in Word or PDF format. Only shortlisted candidates will be contacted.,
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posted 2 months ago

Project Manager - Associate

JPMC Candidate Experience page
experience3 to 7 Yrs
location
Maharashtra
skills
  • Derivatives
  • Interest Rate Swaps
  • Futures
  • Settlements
  • Regulatory Reporting
  • Finance
  • Market Risk
  • Credit Risk
  • Operational Risk
  • Legal
  • Collateral
  • Communication Skills
  • Analytical Skills
  • Problem Solving
  • Project Management
  • Technical Skills
  • Excel
  • VBA
  • Risk Management Systems
  • Hedging Products
  • Basis Swaps
  • Cross Currency Swaps
  • Forward Rate Agreement FRA
  • Foreign Exchange FX
  • Zero Coupon
  • Overnight Index Swaps OIS
  • Bond
  • Operations Process
  • Confirmations
  • Infrastructure Groups
  • Attention to Details
  • Numerical Skills
  • Control Skills
Job Description
You are a strategic thinker passionate about driving solutions in Trading Services. You have found the right team. As a Trading Services Associate within the Trading Services Team, you will be responsible for understanding trading structures to accurately capture all transactions, complete reconciliation checks, and ensure controls are performed. You will work closely with Operations functions and infrastructure groups to support a one team approach and ensure all controls are diligently performed, completed, and signed off on a timely basis. This role provides an opportunity to build an in-depth understanding of all trading structures from both a financial and operational perspective, while participating and contributing to various strategic initiatives to improve and evolve processes and business architecture. - Timely and accurate capture of all transactions in the Risk Management Systems - Complete intraday / end of day processes including completeness and reconciliation checks to ensure capture of new trading activity and general book management has been processed accurately - Work closely with Operations functions and infrastructure groups to support a one team approach - Ensure all controls are diligently performed, completed, and signed off on a timely basis - Communicate clearly and concisely with all support teams to ensure timely and efficient resolution of queries. - Participate and contribute to the various strategic initiatives; keep improving and evolving processes and business architecture - Build an in-depth understanding of all trading structures from both a financial and operational perspective - Understand all relevant derivatives and hedging products (Interest Rate Swaps, Basis Swaps, Cross Currency swaps, Forward Rate Agreement (FRA), Foreign Exchange (FX), Zero Coupon and Overnight Index Swaps (OIS), Bond and Futures) - Knowledge of the front to back Operations process (including the key elements such as confirmations, settlements, and regulatory reporting) and facilitate issue resolution across teams - Understand the key elements of other infrastructure groups (i.e. Finance, Market risk, Credit risk, Operational risk, Legal, Collateral, etc.) and recognize the impact of the actions of the Trade support team on these areas - Must have clear communication skills and an ability to use these to work collaboratively, explain, and challenge, as appropriate - Attention to details and sense of ownership - Great team player able to work in a pressurized and changing environment - Possess strong analytical and numerical skills - Strong problem-solving, control, and project management skills - Strong technical skills, especially in Excel / VBA,
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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 1 week ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate Derivatives
  • Total Return Swaps
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Market Risk Measurement
  • Asset Classes
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of Basis Point
  • Yield Curve
  • Parallel Shifts
  • Point Shifts
  • Term Structure Sensitivity
  • Programming Skills
Job Description
As an experienced market risk professional, you will be responsible for measuring market risk within an investment bank or financial institution. Your role will involve previous experience in VaR or Credit Risk, with a strong knowledge of Asset Classes such as Equity, Fixed Income, FX, Commodities, Derivatives, and Structured Products. Key Responsibilities: - Utilize your expertise in Fixed Income and Derivatives, focusing on Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Demonstrate a basic understanding of pricing and valuation for these products. - Apply your knowledge of key risk and profitability concepts, including Probability of Default, Event of Default, Jump to Default, Mark to Market, volatility, Yield curve, and shifts in yield curve. Qualifications Required: - Possess at least 3-8 years of experience in market risk measurement within the financial sector. - Hold a higher degree in finance or a professional qualification such as CFA, FRM, PRIMA. - Have a general understanding of risk issues, investment products, and programming skills. - Exhibit the ability to work effectively in a team, build relationships, and deliver high-quality work under pressure and tight deadlines. - Demonstrate willingness to challenge the status quo and provide alternative approaches. If there are any additional details about the company in the job description, kindly provide them for a more comprehensive understanding of the role.,
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posted 2 weeks ago
experience2 to 6 Yrs
location
All India, Coimbatore
skills
  • Bloomberg Terminal
  • Corporate Actions
  • Equities
  • Options
  • Bonds
  • Futures
  • Reconciliation Processes
  • Portfolio Accounting
  • General Ledger Systems
  • Spots
  • Forwards
  • Bank Debts
  • Credit Default Swaps CDS
  • Contract for Difference CFD Swaps
Job Description
Role Overview: You will be joining the State Street Global Delivery (GD) team, which provides asset owners and managers with essential financial tools to deliver effective investment solutions. Your role will involve daily cash and position reconciliation between funds and brokers, hedge fund reconciliation activities, reconciliation of dividend & market valuation of the portfolio, and other reconciliation tasks to ensure accurate financial calculations. Key Responsibilities: - Daily Cash and Position Reconciliation between fund and Broker - Hedge fund Reconciliation activity for Cash, Cost, and Position - Reconciliation of Dividend & Market Valuation of the portfolio during month-ends for the fulfillment of calculation of GNAV - Market Value Reconciliation, Expense Accounting including Management Fee, Admin Fee and Incentive Fee, Dividend Accrual Reconciliation, Bond Coupon Accrual Reconciliation, Confirming Trial Balance ledgers tie-up with various sub-ledgers Qualifications Required: - Hands-on experience in using Bloomberg Terminal for searching information on Corporate Actions, verifying coupon accruals for bonds and Price for securities - Good domain skills in reconciliation processes, especially pertaining to market value recon, transaction, and cost recon - Exposure with portfolio accounting, General ledger systems - Exposure to trading instruments like Equities, Options, Bonds, Futures, Spots and Forwards, Bank Debts, Credit Default Swaps (CDS), and Contract for Difference (CFD Swaps) Education & Preferred Qualifications: - Bachelor's or master's degree in accounting or MBA Finance Additional Details: State Street is one of the largest custodian banks, asset managers, and asset intelligence companies in the world. They have been helping clients safeguard and steward investments for more than two centuries. State Street provides investment servicing, data & analytics, investment research & trading, and investment management to institutional clients. The company offers competitive benefits packages, flexible work programs, and development opportunities for employees to reach their full potential. State Street is committed to fostering an inclusive environment where every employee feels valued and empowered to succeed. Note: The Job ID for this role is R-779846. Role Overview: You will be joining the State Street Global Delivery (GD) team, which provides asset owners and managers with essential financial tools to deliver effective investment solutions. Your role will involve daily cash and position reconciliation between funds and brokers, hedge fund reconciliation activities, reconciliation of dividend & market valuation of the portfolio, and other reconciliation tasks to ensure accurate financial calculations. Key Responsibilities: - Daily Cash and Position Reconciliation between fund and Broker - Hedge fund Reconciliation activity for Cash, Cost, and Position - Reconciliation of Dividend & Market Valuation of the portfolio during month-ends for the fulfillment of calculation of GNAV - Market Value Reconciliation, Expense Accounting including Management Fee, Admin Fee and Incentive Fee, Dividend Accrual Reconciliation, Bond Coupon Accrual Reconciliation, Confirming Trial Balance ledgers tie-up with various sub-ledgers Qualifications Required: - Hands-on experience in using Bloomberg Terminal for searching information on Corporate Actions, verifying coupon accruals for bonds and Price for securities - Good domain skills in reconciliation processes, especially pertaining to market value recon, transaction, and cost recon - Exposure with portfolio accounting, General ledger systems - Exposure to trading instruments like Equities, Options, Bonds, Futures, Spots and Forwards, Bank Debts, Credit Default Swaps (CDS), and Contract for Difference (CFD Swaps) Education & Preferred Qualifications: - Bachelor's or master's degree in accounting or MBA Finance Additional Details: State Street is one of the largest custodian banks, asset managers, and asset intelligence companies in the world. They have been helping clients safeguard and steward investments for more than two centuries. State Street provides investment servicing, data & analytics, investment research & trading, and investment management to institutional clients. The company offers competitive benefits packages, flexible work programs, and development opportunities for employees to reach their full potential. State Street is committed to fostering an inclusive environment where every employee feels valued and empowered to succeed. Note: The Job ID for this role is R-779846.
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posted 3 weeks ago

Vice President

MUFG Bank, Ltd., New Delhi Branch
experience10 to 14 Yrs
location
All India
skills
  • FX
  • Interest Rate Swaps
  • Options
  • Bloomberg
  • Risk Management
  • Client Engagement
  • Regulatory Compliance
  • Communication Skills
  • Presentation Skills
  • Collaboration
  • Treasury Sales
  • Market Insights
  • Revenue Growth
Job Description
As a Vice President - Treasury Sales for Large Corporates at Mitsubishi UFJ Financial Group (MUFG) in New Delhi, you will play a crucial role in managing relationships with corporate clients, executing derivative solutions, delivering market insights, and driving revenue growth. Here's a breakdown of your role: Role Overview: You will be a part of the Global Markets team in New Delhi, working for MUFG, a leading Japanese bank with a strong presence globally. Your main responsibilities will include managing relationships with large corporates in the Delhi/North India region, focusing on treasury risk management and market opportunities. You will also be expected to independently structure, price, and execute derivative solutions, provide market insights to clients, collaborate with internal partners, and ensure compliance with local and global regulations. Key Responsibilities: - Own and grow relationships with large corporates in the Delhi/North India region, focusing on treasury risk management and market opportunities. - Structure, price, and execute derivative solutions independently using the banks pricing tools and Bloomberg. - Deliver actionable market insights and articulate the banks macro and strategy views to clients. - Collaborate closely with internal partners for end-to-end treasury solutions. - Engage with regional and cross-border teams for client coverage and structured product delivery. - Drive revenue growth through disciplined client coverage, effective structuring, and optimal pricing while maintaining strong risk governance. - Ensure compliance with local and global regulations, understanding the concept of multi-geographical adherences and complying accordingly. Key Requirements: - 10-12 years of experience in Treasury Sales / Markets covering large corporates in the Delhi market. - Strong understanding of FX, interest rate swaps, and options with hands-on pricing and structuring experience. - Proficiency with Bloomberg and bank pricing tools for client quotations and trade execution. - Excellent communication and presentation skills, able to translate complex market views into clear client narratives. - Proven ability to collaborate across internal functions and geographies to deliver client-centric solutions. - Previous exposure to global regulations such as Dodd-Frank, EMIR, and Global UMR for CSA will be an advantage. - MBA / CA / CFA or equivalent qualification preferred. What We Offer: - Opportunity to work with a top-performing Global Markets team in a dynamic, high-impact environment. - Exposure to sophisticated clients that ensure the delivery of top-notch derivative products and advisory engagements. - Collaborative culture with strong regional and global stakeholder interactions. Mitsubishi UFJ Financial Group (MUFG) is an equal opportunity employer that values its employees as key assets fundamental to its long-term growth and success. We are committed to hiring based on merit and organizational fit, regardless of race, religion, or gender.,
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posted 3 weeks ago

Treasury Business Analyst

Tristha Global Pvt. Ltd.
experience6 to 10 Yrs
location
Chennai, Tamil Nadu
skills
  • Money Market
  • Forex
  • Fixed income
  • Derivatives
  • Interest Rate Swaps
  • Manual testing
  • Communication skills
  • Treasury modules
  • Treasury application experience
  • Cross currency swaps
  • Repo Reverse repo
  • Bond Derivatives
  • Business Analyst
Job Description
You have a job opportunity for the position of Business Analyst in the Treasury department with a requirement of 6 to 8 years of experience. The job is based in Chennai or Mumbai, and the ideal candidate should have immediate to 45 days notice period. **Role Overview:** As a Business Analyst in the Treasury department, you will be responsible for analyzing and understanding Treasury modules. Your role will involve working with various treasury applications and dealing with Money Market, Forex, Fixed income, and Derivatives. You will also handle Interest Rate Swaps, Cross currency swaps, Repo-Reverse repo, Bond & Derivatives. Additionally, you will be required to perform manual testing and have excellent communication skills. **Key Responsibilities:** - Analyze and understand Treasury modules. - Work with various treasury applications. - Deal with Money Market, Forex, Fixed income, and Derivatives. - Handle Interest Rate Swaps, Cross currency swaps, Repo-Reverse repo, Bond & Derivatives. - Perform manual testing. - Communicate effectively with stakeholders. **Qualifications Required:** - 6-8 years of experience in Treasury modules. - Experience with any treasury application. - Exposure to Money Market, Forex, Fixed income, and Derivatives. - Familiarity with Interest Rate Swaps, Cross currency swaps, Repo-Reverse repo, Bond & Derivatives. - Proven experience as a Business Analyst. - Strong manual testing skills. - Excellent communication skills.,
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