Обязанности:
Responsibilities: Preparing reports on macroeconomic information - daily market analysis; Communications with banks; Liquidity control of subsidiaries in the regional group; Support for internal audit of the treasury function (treasury health check); Manage treasury database (deposits, loans, etc.); Prepare daily & monthly reports; Support for implementing new banking products; Prepare reports on ad-hoc requests for top management. Requirements: Experience more than 3 years in Treasury field; Advanced user of MS Excel (pivot, formulas); Knowledge of financial models, macroeconomics and KYC procedure in banks; English (Upper-Intermediate and above); Accuracy and attention to details; Result oriented and following the dead-lines; Stress resistance. Conditions: Salary + semi-annual bonuses Medical insurance Life insurance Mobile compensation Meal compensation Sport & fitness allowance Work in an office in the center of Moscow (No hybrid format of work).