Head Treasury Operations | Bank |
Roles and Responsibilities
Ensuring that all treasury activities are carried out in accordance with approved policies
and guidelines
Setting up and managing entire FX Operations including but not limited to Nostro Recon ,
FX Card settlements, FX Prop deals settlements, FX inward / outward remittance etc
Managing operating bank activities including transaction processing, confirmation and
settlement.
Managing the opening, closing and maintenance of bank accounts and the setup and
maintenance of operating and dealing bank mandates
Ensuring accurate accounting & reporting of Treasury transactions including month end
close, reconciliations, mark to markets, hedge accounting, statutory accounts and notes to
the year-end financial statements.
Managing the Treasury internal and external audit processes and engagement with
auditors.
Assuming responsibility of Treasury Operations business continuity plan lead, risk register
champion and integrated assurance...