Responsibilities:
Money market operations
Liquidity management
FX operations
Backup client business (Money Market and FX)
Development of interbank relationships
Requirements:
Education: Economy/Finance
Background: At least 1 year in Treasury of the bank
Language: Excelent English
Special skills: Reuters/Bloomberg
Good communication skills (Inter Office, Interbank and Client)
Conditions:
Working week - 5 days
Working hours - from 9 to 6
Vacation - 28 days + 2 paid days off
Medical insurance
English classes
Ваш профиль заполнен на 100%. Необходимое заполнение профиля для отклика на вакансию составляет 50% - в этом случае Ваше резюме сможет привлечь больше внимания работодателя.