ACAcme Services
Treasury
Mumbai ₹2-6 LPA Posted 18 Jul 2025
FULL TIME
Technical Skills
Treasury Operations
Treasury Accounting
Accounting
Job Description
Responsibilities:
- Product Expertise: Demonstrate a comprehensive understanding of various treasury products, including:
- Foreign Exchange: Cash, Tom (Tomorrow), Spot, Forwards, and Long-Term FX (LTFX).
- Derivatives: Options, Swaps, Caps, Floors, Forward Rate Agreements (FRAs), and Structured Derivatives.
- Fixed Income: Government Securities.
- Money Market: Call, Notice, Term Money, Repo, Reverse Repo, Commercial Papers, and Certificates of Deposits.
- Deal Life Cycle Management: Possess thorough knowledge of all stages within a treasury deal life cycle, from deal execution, entry, and validation to confirmation, settlement, reconciliations, accounting, and limit monitoring.
- Treasury Operations: Handle core treasury functions including treasury accounting, risk management, and internal controls to ensure compliance and financial integrity.
- Fund and Custody Management: Contribute to the management of funds and custody arrangements, ensuring efficient and secure handling of assets.
- Liquidity & Interest Rate Risk Management: Actively participate in the management of liquidity risk and interest rate risk, implementing strategies to mitigate exposure and optimize financial performance.
- Stakeholder Engagement: Effectively manage relationships with various internal and external stakeholders, ensuring clear communication and collaborative problem-solving.
- Documentation & Reporting: Assist with the preparation of deliverables and engagement documentation, ensuring accuracy and completeness.
- Cross-functional Collaboration: Develop and maintain strong internal and external networks, working seamlessly with other service lines to provide integrated service delivery to clients.
Required Skills:
- In-depth understanding of Foreign Exchange (Cash, Tom, Spot, Forwards, LTFX) and Derivatives (Options, Swaps, Caps, Floors, FRAs, Structured derivatives) products.
- Comprehensive understanding of Fixed Income (Government Securities) and Money Market (Call/Notice/Term/Repo/Reverse repo/Commercial papers/Certificate of Deposits) products.
- Thorough knowledge about various areas in a treasury deal life cycle (Deal execution, deal entry, deal validation, deal confirmation, settlement, reconciliations, accounting, Limit monitoring).
- Experience in Treasury Accounting, Risk & Controls.
- Knowledge of Fund and Custody management.
- Understanding of Liquidity and Interest risk management.
- Good communication skills (Writing, Listening, Presentation).
- Advanced technical skills (MS Word, Excel, PowerPoint, Access).
- Strong Stakeholder Management abilities.