Powered By

Skin Design:
Free Blogger Skins

Powered by Blogger

Thursday, October 25, 2007

Trade Finance and Treasury Manager-Urgently Needed!!!


PT. INTERMATRIX SEARCH CONSULTANTS



Our Client is a local bank which is in the acquisition process with Korean Bank, is urgently looking for successful professionals to fill the following positions:

TREASURY MANAGER

Qualifications:
· Male / Female, max. 45 years old.
· Bachelor¢s Degree from reputable university (Preferably overseas graduate).
· Excellent English communication and corresponding skills, able to speak Korean is an advantage.
· Attractive, loyal and trustworthy.
· Minimum experience in banking industry for 5 years.
· Deep knowledge, understanding and experience in Banking Treasury.

Job Description:
· Control all Treasury products, includes Foreign Exchange, Money Market and Derivatives.
· Monitor foreign exchange activity report (LLD), SID and other reports.
· Build Rules and Regulations and Standard Operating Procedure to comply with current regulation and practices.
· Drafting and implement Market Risk and Liquidity Risk Policy, Procedure, Guideline and Manual.
· Setting up Liquidity and Market Risk limits and counterparty credit lines to control potential loss in Treasury activities.
· Conducting daily measurement of risk and providing risk profile (liquidity risk, market risk, credit risk for Treasury products) to Management.


TRADE FINANCE MANAGER

Qualifications:
· Male / Female, max. 45 years old.
· Bachelor¢s Degree from reputable university (Preferably overseas graduate).
· Excellent English communication and corresponding skills, able to speak Korean is an advantage.
· Attractive, loyal and trustworthy.
· Minimum experience in banking industry for 5 years.
· Deep knowledge, understanding and experience in International Banking.

Job Description:
· Manage and provide leadership to International Banking Department staff.
· Monitor and ensure that daily activity of export import operations are processed and performed timely, accurately and adhere to rule and regulation, as well as compliances policies established by Bank.
· Initiate corrective action to resolve the problem when appropriate.
· Control export and import Letter of Credits in conformance with current regulation and within the approved limit.
· Monitor the settlement of export and import documents; ensure that payment is done correctly and within the time limit.
· Supervise import tax payment (PIB) process.
· Build Rules and Regulations and Standard Operating Procedure to comply with current regulation and practices.
· Responsible for correspondent banking job, includes opening / closing SWIFT Bilateral Key Exchange.


Any interested candidates please submit your CV to:
matrix@rad.net.id

or you can send to : PT. Intermatrix Search Consultants
Gedung Prince Centre Suite 608, Jln. Jendral Sudirman Kav 3-4
Jakarta Pusat, 10220
"Where the Quality Search is our Commitment"

No comments: