Treasury Back Office Specialist
Responsibilities:
· proceeds the Bank’s operations on financial markets: FX, MM, Securities;
· proceeds the Clients’ operations FX, Securities;
· prepares payment documents and processes settlements with correspondent banks and the Bank’s client in Diasoft and SWIFT;
· verifies the Bank’s assets and liabilities on FX market;
· verifies internal accounts of the Bank on financial markets’ operations;
· prepares information for regulators and auditors by request of the manager;
· controls and makes timely corrections of entries as per IFRS requirements;
· monitors for correct accruing of NPV and %% in the morning and evening
· monitors for documents turnover with MOEX;
· performs Nostro position monitoring;
· prepares reporting to CBR and other authorities;
· performs corrections of reconciliation breaks and reports to Finance;
Requirements:
· previous experience in treasury back-office in a bank;
· knowledge of legislation in the field of financial markets operations;
· FCSM certificate 1.0;
· English – intermediate level.