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Requirements:
• Higher education (economics, finance, banking business, economical cybernetics);
• Relevant experience in banking sector;
• Advanced user of MS Office Applications (MS Excel – VBA programming is necessary);
• English – intermediate or higher;
• Exceptional analytic skills.
Job Responsibilities:
• Calculation and analysis of market risks exposure on bank (FX, liquidity and interest rate risks), market risks limits monitoring;
• Analysis of financial conditions of financial institutions (banks, insurance companies etc.);
• Preparation and analysis of market risks reporting package;
• Financial instruments assessment;
• Analysis of macroeconomic environment (overviews preparation);
• Development of methodological base relative to market risks management.
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