Company Name: Woori Bank
Roles & Responsibilities:
- Optimization of risk return through specialization and management
- Funding of the Balance Sheet at optimum prices
- Proposing interest rate matrix to the ALCO
- Proposing various investment options to the ALCO
- Analyze various economic trends and propose Balance Sheet Strategy to the ALCO
- Quotation of various foreign exchange and interest rates to customers
- Dealing in foreign exchange for position covering as well as for own account trading
- Various funding activities through various derivatives
- Provide structured treasury solutions to customer
- Remain vigilant for any arbitrage opportunities
- Marketing activities for future business growth
- Estimate daily P&L and work with reporting unit in resolving any difference
- Record/ maintain all foreign exchange and money market positions and check for
- differences with system generated/back-office reports
- Sending dealing information to Back Office through deal slip
- Performing money market activities
- Security/fixed income trading
Educational Qualification:
- Graduation, preferably in Business, Economics, Bank Management or related subject
Work Experience:
- At least 8 year(s)
Others Requirements:
- Minimum Eight (8) years of experience in reputed Banks; minimum Four (4) years of experience in Treasury department
- Knowledge and effective application of all relevant banking policies, processes, procedures and guidelines to consistently achieve required compliance standards or benchmarks.
- Technical skills to effectively perform treasury system, business systems and product support activities/tasks in a manner that consistently produce high quality of service.
- Should be proactive, innovative and energetic.
- Excellent interpersonal, communication skill and leadership quality is much desired.
- Candidate having third Division/Class in his/her academic carrier, need not to apply.
Others Benefit:
As per company policy