Job Summary1. Governance, Risk, and Compliance for Group Treasury across global Business Units (BUs)2. Implementation of Treasury Policy & Processes3. Periodic Treasury engagements & reviews with the global BUs4. Building Treasury data structure and pool to work on processes and reporting.5. Financial Market lead for the Group Treasury for hedging FX and RatesRoles & ResponsibilitiesRisk and Governance
Ensuring internal compliance in alignment with internal Risk and Compliance guidance
Support Global BUs to explain, interact, and adhere to Treasury Policy and Processes.
Engage with BUs / SSC teams to regularly review / discuss Treasury reports; FX and Rates Analysis, Hedging, and Market Research
Co-ordinate across global BUs for the FX and Rates Risk Management and support them with market analysis, hedging recommendations, ISDA document negotiations etc. Engage with businesses to help them build natural FX hedges through local currency funding, structuring, business model re-engineering, etc.
Support with historical market analysis, daily and periodical financial market updates
Monitoring strategic hedges & its underlying exposures IT & Process improvement
Data analytics / dashboard development initiatives for deeper insights & improving controls on the day-to-day operations & management reporting
Developing new Treasury reports for management insights and monthly presentations
Support the implementation of the in-house Treasury Management System (TMS)
Drive ideation, deliberation and execution of Treasury ideas end-to-end with support on driving initiatives across BUs, Banks, and IT team Banking & Business relationship Group Treasury lead to support entities across EMEA on the Bank facilities and managing bank relationships
Support compliance relating to managing the covenants, review / circulation of financial statements and other specific requirements across Banks operating in different countries Assisting the Treasury engagements on Sustainability related initiatives
KPIs1. Demonstrate the rollout of the Risk, Compliance and Governance framework for the Group Treasury across the Global BUs in line with the defined roles and responsibilities. 2. No. of new ideas of Data Structure and Pool for building Treasury insights amidst various challenges across the IT resources3. Rollout of SharePoint Workflow for better control over the Treasury Risk and Governance by coordinating with BU, IT, SSC, Risk and Compliance4. No. of initiatives taken across the BUs in line with discussions during Treasury review calls5. No. of Banks & entities onboarded with the global market limits6. Demonstrate continuous engagement with the BUs responsible and drive projects around facility increase, cost reduction, covenant management, structuring efficiencies etc. 7. No. of reports / update on major market events8. Comprehensive exercise on implementing signatory matrix across the group based on industry best practices
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