

Roles and Responsibilities:
- Monitor daily reports to manage the bank's assets and liabilities;
- Ensure compliance with interbank rules and regulations when managing liquidity risk;
- Preparing and effectively implementing Funds Transfer Pricing statements;
- Preparation of the initiatives aimed at protecting the bank from liquidity, interest, and exchange rate risks;
- Manage available funds and develop proposals for investment activities in financial markets;
- Compilation of statements for the Assets and Liabilities Management Committee (ALCO);
- Conduct analysis and forecasting to continuously provide financial resources required for the business activity of the bank.
- Skills and experience in financial modelling;
- Сlear understanding of liquidity and interest rate risk measures;
- English - fluent.
- Work in an international bank
- Loans for employees at a favorable rate
- No dress-code
- Professional mentors and colleagues
- New modern and cosy office for comfortable work
- Conditions: fixed salary + an attractive and transparent bonus system

Ключевые навыки
- Английский язык
- AML
- Treasury Management
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Вакансия опубликована 14 марта 2025 в Алматы