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Город
Уровень з/п
78000 руб.
Возраст
46 лет
Категории
Уровень в штатном расписании
  • Руководитель подразделения
Создано
28.01.2007
Изменено
28.01.2007

Образование: Высшее

Профессиональные качества и умения

Education
Economist
1997-1999 гг. Financial State Academyѕ Banking Finances and Credit
Engineer
1989-1995гг. Moscow Aviation Instituteѕ Faculty of Automatic Control

Working experience

Ad hitherto-March 2001 Bank (Top 100)
Back Office/ Money Market Department Head of Department (2 subordinates)

Management and Control of financial transactions on inter-bank market:
-Domestic/International FOREX,
-Inter-bank Loan/Deposit (RUR/USD/EUR),
-Cash deals,
-MICEX UTS and SELT,
-Deals with precious metals.
Calculation and Checking dealer’s or customer’s currency position. Fixing of currency exchange cash & cashless rate (USD/EUR). Creation and coordination of internal banking procedures. Inter-banking clearing: transfers in Russian rubles and foreign currency (both incoming and outgoing). Checking payments received. Preparation of monthly & quarterly reports for CBR/ MICEX/ MSFO/ AUDIT reports. Partner’s limits management.

March 2001-November 1997 Bank
Treasury Department
Specialist

Debit or credit with accounting transaction (FOREX/ LOAN/ DEPOSIT/ MICEX/ CASH/ gold&silver) according to instructions of CBR №205-П dd 05.12.2002, №54-П dd 31.08.1998, the regulations of CBR №55 dd 21.03.1997, №199-У dd 30.03.1998. Reservation of loan according to instruction of CBR №254-П dd 26.03.2004. Charging interest according to instruction of CBR №39-П dd 26.06.1998. Creation SWIFT or TELEX confirmations (300,302,399 forms), checking confirmations received. Reconciliation of NOSTRO/LORO accounts, supervision of the suspense accounts, management of RUR or currency bank liquidity. Calculating and checking bank payments.

November 1997August-1995“European Trade Bank”
Operation Customer’s Service Department Opening Account Specialist

Opening account for company and private persons, residents and foreign residents. Completing and control of necessary documents for opening account. Attracting new Russian corporate customers. Concluding treaties with juridical companies for increase in the number of new customers.

August 1995-February 1995“Mal-Bank”
Operation Customer’s Service Department
Account Operator
Operational work with corporate customers.