

Dynamic and results-oriented Treasury Analyst with nearly two years of experience overseeing liquidity management and foreign exchange trading for international banking operations. Expertise in managing FX risks, optimizing revenue partnerships, and ensuring efficient transaction processing while aligning financial accounts across multiple stakeholders. Backed by an MBA in Finance and a strong background in risk management and revenue generation. Possesses strong analytical skills and adept at utilizing financial systems and automation tools to enhance operational efficiency and mitigate financial losses.
Liquidity Management
Forex Trading
Stakeholder Management
Financial Forecasting
Account Reconciliation
Revenue Generation
Credit Analysis
Risk Management
Hedging Strategies
Financial Modeling
Process Automation
Excellent Communication Skills
Company awarded my dedication and handwork by giving 30% hike in salary with in 6 months period of joining.