- Стартовые вакансии и стажерские позиции
- Требуемый опыт: 1-2 года
Sberbank FX risk management team is responsible for banking book FX risk management, balance sheet simulation modeling and stress-testing, developing FX risk management policy of the Bank and participates in its implementation. The team actively participates in strategic analysis to support ALCo / Group CFO / Head of Treasury decision making on the issues related to strategic FX risk management, FTP, ALM risk positioning.
Sberbank Treasury team is looking for an ambitious and driven Treasury specialist who is available immediately or within 1-2 months. The successful candidate will be:
•NES/ HSE / MSU graduate with MA degree in Economics or Finance;
•Solid knowledge of Mathematics/ Economics/Finance;
•Good IT skills (advanced MS Excel user, basic knowledge of VBA, SQL);
•Excellent presentational skills, good working knowledge of MS Power Point;
•Excellent communication skills;
•Have 1-2 years of experience in Finance, non obligatory in banks.
Key responsibilities include:
•Support in strategic analysis to support decision making on strategic FX risk management, ALM risk positioning;
•Participation in improving the FX risk methodology;
•Project management and processes improvement;
•Analysis of FX risk in new and existing banking products;
•Participation in complex transactions analysis and structuring;
•Preparation of reports and presentations for Board / ALCo / Group Risk Committee.
What’s on Offer
•Full-time position with a competitive salary + performance related bonuses and nice work-life balance;
•Excellent benefit package (free medical insurance, free fitness, education in Sberbank Corporate university, ALM trainings abroad, etc.);
•Excellent working environment within dynamic and amiable ALM team (80% NES / HSE graduates).