- Conduct Money market & Foreign exchange transactions in the interbank market;
- Prepair & check contract, input transactions into Core system, and follow these deals until finish (such as create Swift Message for confirmation or make payment order via Vietcombank Money System or Citad);
- Control Nostro accounts, manage and monitor the fund liquidity, control cash flow, manage safety ratios based on banks policy and Head office framework and comply with local regulations;
- Manage compulsory reserves required by local authorities;
- Prepare daily exchange rate quotation;
- Take action for liquidity risk management if necessary;
- Provide alternative and support for hedging and managing customer foreign exchange position;
- Recommend the appropiate margin cost of fund for lending;
- Monitor, update Vietnam & international financial market;
- Understand the local regulatory;
- Maintain and expand relationship with other counterparties for granting limit and getting information;
- Control treasury limits & guidelines set by Head-office;
- Work closely with other departments to ensure smooth running & proper management;
- Other works assigned by Department Head and Management.
- Bachelor Degree in banking/finance - 3 - 5 years of experience in related role;
- In-depth understanding of Treasury Operation and related regulaion;
- Can communicate fluently in English;
- Being accountable, trustworthy and having attention to details;
- Speaking Korean is preferable;
- Being able to be on board as soon as possible.
13 month salary, bonus
Social Insurance according to Labor Laws
Working in a professional environment
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