PC Company

Financial Services

Analyst-Treasury

₹7–10L ~AI est. Chennai, India FULL TIME
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Mid+ candidates.

The Brief

“Analyst - Treasury at PC Company. Skills: Treasury, Trading, Risk management. Reconcile daily profit and loss figures. Investigate and resolve discrepancies”

Industry & Context.

Financial Services
Problems you'll solve

Break down problems; Resolve problems; Evaluative judgements

What They're Looking For.

Must Have

5+ years IB, 5+ years financial modeling

Nice to Have

CFA charterholder preferred, Master's degree preferred, Bloomberg proficiency preferred

What You'll Do.

Reconcile daily profit and loss figures

Investigate and resolve discrepancies

Support identification

and mitigation of trading risks

Report on financial risks

Maintain and analyze bank's trading data

Provide insights on trading performance

Prepare and submit regulatory reports

Support external audits

Address auditor queries

Communicate complex financial information

Collaborate cross functionally

How You'll Work.

Team & Collaboration

Partner with other functions; Cross functional collaboration; Work with risk professionals; Work with senior colleagues; Work with external stakeholders

Communication Scope

Presentation skills; Written communication; Verbal communication

Full Job Description

# **Job Description** **Purpose of the role** To oversee the financial aspects of trading activities, ensuring the accuracy and integrity of the bank's trading book, maintenance of compliance with regulatory requirements, and provision of insights into trading performance. **Accountabilities** * Reconciliation of daily profit and loss (P) figures for trading desks to ensure they align with the valued positions in the trading book, investigating and resolving discrepancies between P figures to ensure they reflect the true economic value of the trading portfolio. * Support the identification, assessment, and mitigation of trading risks, and report on these financial risks to senior colleagues. * Maintenance and analysis of the bank’s trading data, ensuring its accuracy, completeness and consistency, and provision of insights to traders and senior colleagues on trading performance. * Preparation and submission of regulatory reports to authorities, and provision of support to external audits including addressing auditor queries and ensuring trading activities are appropriately reflected in financial statements. * Effective communication of complex financial information to traders, risk professionals, senior colleagues, and external stakeholders. * Cross functional collaboration to ensure a coordinated approach to trading activities. **Analyst Expectations** * Will have an impact on the work of related teams within the area. * Partner with other functions and business areas. * Takes responsibility for end results of a team’s operational processing and activities. * Escalate breaches of policies / procedure appropriately. * Take responsibility for embedding new policies/ procedures adopted due to risk mitigation. * Advise and influence decision making within own area of expertise. * Take ownership for managing risk and strengthening controls in relation to the work you own or contribute to. Deliver your work and areas of responsibility in line with relevant rules, regulat

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