Key Job Responsibilities:
Preparation of all reports being generated by Treasury Front Office & Back Office:
- Daily call money/Placements
- Daily Exchange Positions
- Daily RIT (BB) Statement of FX on web portal
- Weekly OBU reporting to Bangladesh Bank
- Monthly FC inflow and outflow of the Bank
- Weekly/Monthly reports of Money Market Operations
- On demand reports and statements
Educational Requirements
Candidate must possess at least a Master’s in Business, MBM, Economics or relevant subjects from leading business school/University. No Third Division in academic records.
Experience Requirements
Minimum 3 year(s) working experience in Commercial Banks Treasury Division in the relevant functional area.
Special Requirements
Working experience in Finacle (Core Banking Software) or similar software will be given preference.
Competencies & skills:
- Smart, Team player, paired with agile mindset and can-do attitude.
- Excellent presentation & communication skills
- Excellent skills in MS Excel
Job Location: Head Office, Gulshan
Remuneration: Negotiable
Application Procedure: Interested candidate are requested to apply by March 23, 2019. No hard copy of application will be accepted.
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