Intern in FX risk management team, Treasury department

Job description:
Credit bank of Moscow is one of the top 10 Russian banks with large balance in corporate business. Treasury is participating in all front-office business processes including FX risk management. Business is growing, market conditions are changing, that’s why Treasury department is looking for strong and business driven candidates, understanding key points of current market situation.

Key responsibilities:
• Analyzing data sources for the position construction
• Calculating FX position of Banking book
• Development of FX strategy for the banking book (ALCO and board level)

• Bachelor in finance/ economics/ math;
• Good academic performance  
• Understanding of:
i)               basic principles in currency market (variety of instruments, interest rate parity / swap points)
ii)             impact of balance changes on open currency position
iii)            Hedging instruments and their effect on financial result
•              Fluent English;
•              Basic skills in Excel (VBA), Power Point, SQL;
•              Full-time is preferable

What we offer:
•Opportunity to increase your expertise in financial markets
•Possibility to feel real financial impact of your actions and as a result to become more stress resistant
•Comfortable office in Moscow-City business center

To apply for this vacancy, please send your CV to LidzhievC@mkb.ru
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