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CSB Bank Limited

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Treasury Officer - Back Office| Mumbai

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Responsible for verifying, authorizing, settling and reconciling treasury transactions across foreign exchange, money market, interbank and other treasury products while ensuring accuracy, timeliness and regulatory compliance.

  • Verify, authorize, settle, and reconcile treasury transactions including FX, Money Market and interbank deals.
  • Manage reporting and settlement activities with CCIL, including trade reporting, net position management and settlement obligations.
  • Perform Nostro and Vostro account monitoring, reconciliation, balance confirmation, and fund position management.
  • Prepare, validate and submit treasury-related regulatory returns and reports to RBI and internal stakeholders.
  • Process and monitor treasury-related SWIFT, RTGS and foreign currency settlement transactions within defined timelines.
  • Support branches and business units on foreign exchange transactions, inward remittances and treasury-related operational queries.
  • Perform daily reconciliation of front-office and back-office deals and ensure timely resolution of exceptions.
  • Manage treasury accounting entries, brokerage payments, funding requirements and settlement-related controls.
  • Ensure compliance with RBI guidelines, CCIL requirements, internal policies and treasury operational procedures.
  • Coordinate with counterparties, exchange houses, auditors and internal stakeholders to support efficient treasury operations.

Experience Range: 2 to 3 years

Qualifications:

Post Graduation

Skills

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