Liquidity Analyst | Sberbank

Dear All,

Treasury of Sberbank has the following open position:

Division: Treasury, Asset Liability Management
Specialization: Liquidity management
Position: Analyst / Senior Analyst

• Market / Bank liquidity analysis;
• Monitoring of money market and banking system liquidity position;
• Balance sheet modeling, liquidity gap analysis (scenario analysis);
• Cash flow modeling and forecasting;
• Participation in liquidity management strategy development (Bank and Group level);
• Liquidity buffer management;
• Calculation and forecast of required ratios (N2, N3, N4) and other risk-metrics;
• Development and support of liquidity reporting system;
• Preparation of presentations for top management;
• Development / actualization of liquidity risk models;
• Participation in Basel III implementation process;

• Higher education in Economics/Finance/Math;
• Knowledge of financial markets, basic knowledge of accounting;
• Experience in financial statement analysis, econometric modeling experience;
• Strong verbal and written skills in Russian;
• Fluent written and spoken English;
• IT and Database experience: SQL, MS Access as a plus;
• Excellent knowledge of MS Power Point, presentation skills;
• Ability to work independently and focus on the task on a hand;
• Willingness to learn and ability to work under pressure.

Interested candidates should submit a CV via e-mail to[email protected] (subject: Sberbank Treasury)