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Requirements for Senior Candidate
4 years or more experiences in Treasury Operation
In depth knowledge about various products such as FX, MM, OTC Derivatives, Bond, CD
Experiences of regulatory report preparation to BOK, FSS, KOFIA and etc.
Experience of participation into projects and UAT
Strong risk awareness and Control
Should be able to share knowledge with junior staff and support managers with strong responsibility and positive attitude
Fluent in spoken and written English
Good at Excel and Macro

Job Description
OTC Derivatives, Bond, CD product handling as preparer
Local Regulatory Report preparation to BOK, FSS, KOFIA
Daily Nostro Balance monitor
Daily Nostro Balance reconciliation
BOK Wire payment and FX with corporate client
Support TR project and UAT for system enhancement


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