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Job Location | Mumbai City |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | Textile / Garments / Fashion |
Functional Area | General / Other Software |
EmploymentType | Full-time |
DescriptionTrafigura Global Services Pvt. Ltd. (TGS) is the Global In - house Centre (GIC) for Trafigura. Founded in 1993 , Trafigura is one of the largest physical commodities trading groups in the world. Trafigura sources , stores , transports and delivers a range of raw materials (including oil and refined products and metals and minerals) to clients around the world. The trading business is supported by industrial and financial assets , including 49.3 percent owned global oil products storage and distribution company Puma Energy; global terminals , warehousing and logistics operator Impala Terminals; Trafiguras Mining Group; and Galena Asset Management. The Company is owned by around 600 of its 4 , 300 employees who work in 66 offices in 38 countries around the world. Trafigura has achieved substantial growth over recent years , growing revenue from USD12 billion in 2003 to USD180.7 billion in . The Group has been connecting its customers to the global economy for more than two decades , growing prosperity by advancing trade.LI - TRMain PurposeResponsible for the identification , analysis , mitigation and connected back - office activities of Foreign Exchange Risk Management arising from Trading and Investment business conducted in all divisions of Trafigura.Key ResponsibilitiesLiaise with Traders , Operations and Deals Desk in identifying FX risks across all divisions : Trading , Overhead , FinanceDevelop hedging strategies for FX risk mitigation and gather related approvalExecute FX hedges with internal brokerPerform and coordinate the treasury back - office activity in relation to the hedging activity.Allocate the hedge PnL to each underlying exposure and monitor hedge effectivenessLiaise with Derivatives Back Office in order to agree daily settlements and resolve discrepanciesWork with Treasury to manage account liquidity in foreign currency and minimize exposure and costs connected with interest rates and overdraftsActively monitor the markets for events , opportunities and early sign of distress in order to inform management and traders timelySupport all manners of reconciliation related to FX and development of FX system(s) to improve current processKnowledge Skills and Abilities2 - 6 years relevant work experience with exposure to Foreign Exchange markets , Interest Rates , Cash / Liquidity Management , Risk ManagementMBA in FinanceFluent English Be flexible , open minded , comfortable in working with firm deadlines and able to handle stress situationsGood team - player and an open personality with energy and drive Advance knowledge of Microsoft Office and flair for IT systemsKey RelationshipsBanks and BrokersInternal Broker and Back OfficeOperational TreasuryTrade Finance , Deals DeskTrading floor,
Keyskills :
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