Mô Tả Công Việc
• Cover FX (spot and forwards) position arising from customers’ trades (both interbank and corporate). • Utilize FX swaps, including deposit-linked swaps, for funding purposes. • In charge of interest rate exposure / meet funding requirement for treasury, loans, trade finance in the following currencies: VND, EUR, USD, HKD, JPY. • Management customer loans and deposits. • Responsible for the administration of Bonds portfolio. • Account manager for positions VND, EUR, USD, HKD, JPY, CHF. • Collect and analyze information, news which significantly affect the status of the accounts, i.e. news relating to restructuring of organizations, banking facilities/loans, mergers, acquisition etc. and update the management accordingly. • Responsible to obtain financial for the borrowers and ensure to review the account promptly and conduct proper financial analysis for the reviews. • Report to the management for any significant changes and facts that will affect the positions of the accounts and jeopardize the bank’s positions. • Communication with the borrowers or counter-parties for business and monitor the accounts as well as follow-up outstanding matters promptly. • Any other duties that may be assigned from time to time.
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Yêu Cầu Công Việc
1. Bachelor Degree in banking, finance or economics;2. Have working experience at Treasury Dealer, Operation (TSR back office) or risk management (TSR middle office).3. Good understanding of Vietnamese banking practices and regulations, products and services;4. Team oriented and possessing good interpersonal skills;5. Good command of spoken and written in English, Mandarin will be a plus.
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Hình thức
Full-time
Mức lương
Thỏa thuận
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