Vice President Markets Treasury Dealer
About this position
Responsibilities
• Managing cash/funding and liquidity (local and foreign currencies nostros) of the Bank & Managing structural interest rate risk transferred to Markets Treasury.
• Dynamic interest rate risk management in ensuring maximized returns on the deployment of commercial surplus.
Requirements
• Basic understanding around finance and banking services.
• Basic understanding around money market products as well as foreign exchange and bonds.
• Prior dealing experience will be an advantage.
• Strong analytical skills and MS office.
• Strong eagerness to learn about Markets Treasury and other related products.
• Excellent self-management around time and task priorities in handling stress and multiple deals.
• Fast learner.
• Fluent in English and Indonesian language both verbal and written.