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If you would like to be involved in:
- Evaluating the Bank’s exposure to interest rate, liquidity and market risks according with applicable regulations;
- Coordination of the appropriate administration of interest rate, liquidity and market risks;
- Elaborating of the market-risk and liquidity strategy, stress-testing and back-testing processes;
- Monitoring financial markets and main macroeconomic indicators, maturity and currency exposure of the balance sheet items.
And you have:
- Academic background – degree in Economics;
- Previous experience in management of market and liquidity risk
- Good knowledge of English and MS Office (Excel, Power Point);
- Analytical thinking, proactive and result-oriented person;
- Ability to meet strict deadlines;
- Good communication skills, proves a hard-working teammate, reliable, with high sense of responsibility and integrity.