You will be trained to:
• Perform daily Nostro/NAPAS reconciliation.
• Validate Treasury transactions (MM, FX, FT, Derivative…) accurately and in a timely manner.
• Facilitate prompt settlement of Treasury transactions through Swift, Citad, VCB, BIDV…
• SBV and Head Office report related to Treasury Back office.
• Issue/check invoice for Treasury transactions.
• Perform external Audit confirmation for Interbank counterparties.
• Other tasks are assigned by line manager.
• 1-3 years working experience at Back Office position.
• Good communication.
• Quick reaction.
• High ability to organize and priorities to meet cut off time.
13th- and 14th-month salary
Premium health care package
Staff Housing Loan
Attractive income
Staff housing loan
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