Job Title
Team Member - FAG - Finance
Business Unit
Finance
Reporting To
Unit Head - FAG - Finance - (IFRS & Treasury Accounting)
Job Function and Role Type
Team Member - Treasury Accounting, Individual Contributor
Version No
2.0
Job Purpose
Treasury accounting and reporting, including preparation of financial statements and regulatory compliance.
Key Responsibilities
Preparation of Ind AS standalone financials
Map IGAAP trial balance to Ind AS financials and prepare transition entries; Reconcile IGAAP and Ind AS for balance sheet and P&L items.
Preparation of Ind AS consolidated financial statements
Map IGAAP consolidated financials to Ind AS consolidated financials; Ensure elimination entries and reconcile consolidated balance sheet and P&L items.
USGAAP reporting and transition to IFRS
Assist in IFRS transition for NYSE/SEC reporting; Prepare Management's Discussion and Analysis under USGAAP.
IFRS systems implementation
Participate in system design discussions and user acceptance testing; Prepare Statements of Understanding for IFRS system implementation.
Foreign forward exchange contracts (Fx) accounting and reporting
Report FX P&L MIS daily and reconcile monthly financials; Perform month-end reporting and prepare quarterly MIS for CFO, ACB, and Board.
Derivative accounting and reporting
Report derivative P&L MIS daily and reconcile monthly financials; Prepare quarterly MIS and disclosures for USGAAP reporting.
Investments accounting and reporting
Report Investments P&L MIS daily and reconcile monthly financials; Prepare quarterly MIS and disclosures for USGAAP reporting.
Systems implementation
Participate in accounting-related design discussions; Provide accounting entries and conduct user acceptance testing for treasury systems.
Catering to adhoc requirements related to treasury accounting
Advise on accounting schema for new products; Address adhoc MIS requirements and set up accounting for GAAP/regulatory changes.
Education:
Chartered Accountant (ICAI).
Certifications:
IFRS certification (UK), Chartered Financial Analyst (CFAI, USA).
Key Competencies
Strong MS Excel skills, working knowledge of MS Access, fluency in English, knowledge of financial instruments, regulatory compliance expertise.
Major Stakeholders
Indian GAAP and USGAAP Finance teams, MIS teams, Treasury Operations, Treasury Middle Office, Treasury Front Office, Market Risk.
Eligibility typically includes the qualifications and experience outlined in the job description above, with around 12 - 22 Years years of relevant experience expected for this role.
The key responsibilities for this role are detailed in the Key Responsibilities section above, covering the core duties expected of a Reg. Head-Wealth at HDFC Bank.
This role requires around 12 - 22 Years years of relevant experience, as specified in the job listing. Please refer to the Qualifications & Experience section above for full details.
Skills relevant to this position are outlined in the Qualifications & Experience section above. In general, strong communication, domain knowledge, and the ability to meet role-specific targets are valued across similar BFSI positions.
You can apply directly using the Apply Now button on this page, which will take you to HDFC Bank's application process for this role.