Manager, Treasury Risk
oaktree · Hyderabad · India · On-site
Posted Sep 4, 2026
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Our Company
Oaktree is a leader among global investment managers specializing in alternative investments, with about $200 billion in assets under management. The firm emphasizes an opportunistic, value-oriented and risk-controlled approach to investments in credit, private equity, real assets and listed equities. The firm has over 1,200 employees and offices in 24 cities worldwide.
We are committed to cultivating an environment that is collaborative, curious, inclusive and honors diversity of thought. Providing training and career development opportunities and emphasizing strong support for our local communities through philanthropic initiatives are essential to our culture.
For additional information please visit our website at www.oaktreecapital.com .
Responsibilities
We have an exciting opportunity to join the Treasury Risk team. The Treasury Analyst of foreign exchange (FX) and interest rate risk management will play an essential role in supporting a centralized foreign currency trading function, working closely with our global investment, IT, trade operations, finance, and accounting teams.
Responsibilities include:
Support senior members of the team in analysis, presentation creation and reporting
Deliver accurate and timely materials to be presented to Senior Management
Perform analysis on hedging strategies and PnL
Monitor, develop and maintain risk reporting
Liaise with investment, trade operations, IT, Treasury, and accounting teams to develop and enhance reporting on key metrics for monitoring FX risk and trading activity
Work with various groups to resolve any trade discrepancies
Assist in new fund and user onboarding workflow
Coordinate with internal and external stakeholders to ensure fund onboarding and ISDA process are progressing
Partner with multiple stakeholder groups, including accounting, IT, trade support and operations, investment teams and compliance to develop and test enhancements to in-house FX application
Build effective working relationships with internal stakeholders
Ability to take on new projects as required and efficiently manage existing ones
Ability to follow existing processes
Perform other tasks and projects as necessary.
Qualifications
3-5+ years of Capital Markets/Treasury/FX/Interest Rate/Asset Management experience
General knowledge of FX and Interest Rate markets, sponsor hedging strategies (forwards, options, structured products), and operational processes
Strong Excel and PowerPoint skills required
Python/VBA programming, Power BI, Visio, Bloomberg terminal (preferred)
Use of AI to develop prompts to streamline work processes
Familiarity working with large or complex data sets
Personal Attributes
The successful candidate will have outstanding initiative, an eagerness to learn and a strong work ethic
Self-starter that can work with limited supervision
Must be customer-oriented and have excellent verbal and written communication skills
Detail-oriented…