Front Office

Adani Group

Full Job Description

Job Role:

The Group Treasury has various functions in the form of FX & Rates risk management, market research, investments management, trade finance and debt capital market. Fx and Rates Risk management for businesses is one of the primary responsibilities of Treasury.

Rates risk primarily arises on account of long tenor borrowings and Asset Liability mismatches. Rates Trader will be responsible for managing these risks for businesses and for generating revenues / saving costs by actively managing these risks.

Key Areas of Accountability:

Be a part of the Group Treasury Team, which among other things actively manages market risks faced by businesses within Adani Group.

  • Generate Revenues by actively managing Rates Risks though various market traded Rates Products like GSecs, SDL, Corp Bonds, Repos, Swaps and other Interest Rate Derivatives.
  • Provide regular inputs and views to team members in the Rates Space to identify opportunities for generating returns and managing risks in the portfolio
  • Ensure compliance with all internal policies and limit



  • Professional or Masters degree with financial acumen (CA / MBA)


  • 7 – 10 years relevant experience with a Bank/Corporate
  • A Proven Track record of generating revenues
  • Risk Taking capacity

Primary Location: IN-IN-Mumbai

Work Locations: Mumbai Mumbai Mumbai

Job: Adani

Organization: Corporate Services

Schedule: Regular

Shift: Standard

Job Type: Full-time

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