Ability to read, understand and analyze the macroeconomic situation, interest rates, updated exchange rates and other factors affecting the yield of bonds to formulate a business strategy for valuable papers.
Market research to find and connect with potential customers wishing to trade securities on the interbank market and securities companies, funds, and institutional customers.
Trading types of securities transactions: government bonds, credit institution bonds, certificates of deposit ... on the market.
Operational activities related to HNX, VSD and SBV.
Perform other tasks related to valuable paper transactions.
Storing records, documents related to the entire financial security business activities.
2. Trading in corporate bonds: Being able to read and understand financial indicators and work directly with enterprises to analyze financial statements submitted to investors by enterprises.
3. Rate hedging operations: Prioritize candidates who have experience in the FX market and derivatives including CCS, AIRS, IRS ... operations.
Yêu Cầu Công Việc
Education level: priority to graduate MBA, Master, ACCA….
- Junior :at least 1 year in banking and finance industry.
- Senior : at least 5 year in Treasury or equivalent financial experience (priority to experience in ALM and have good network for bond brokerage)
Fluent in English.
Rights of candidate:
Candidates will be recruited to enjoy competitive salaries, preferential benefits according to company policies and suitability;
Have the opportunity to study abroad, be regularly sent to train new operations in the financial market.