Резюме от 15 ноября 2017

Найденов Владимир Виталиевич

Treasurer

Полная занятость.

Дата рождения:
12 декабря 1984 (32 года)
Город:
Киев

Контактная информация

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Дополнительная информация

Experience: PJSC «VERNUM BANK», Treasury Department
Deputy Chief of Treasury Department
August 2014 - May, 2015 year.

•Management of Department
•Monitoring of compliance for economic standards
•Setting up foreign currency exchange rates for clients
•Prepare and forming analytical reports of Treasury Department
•Maintenance and manage currency position of the Bank
•Manage liquidity of the Bank (in local and foreign currency)
•Forex & MM trading on Ukrainian and European Market
•Conduct negotiations with clients and counterparties
•Payment schedule maintaining and daily update (plan - fact)
•Bank operations management in foreign and local currencies
•Deposit and loan operations, preparing the documents, registration of loans granted by non-residents at National Bank Ukraine through servicing bank and following changes under loan agreements, control of loan & deposits obligations
•Communication with other departments on daily basis with regard to legal, operational and trading activities
•Cost optimization of company's cash and settlement services, searching new bank products to reduce costs and improve the funds profitability
•Preparation of data /reports related to cash flow forecast and cash position analysis by requests of Management
•Participation in development and implementation of Treasury procedures/policies; supporting and improvement control system for all bank processes
•Ongoing monitoring the changes of banking and cash regulation and legislation
•Developing business guidelines, authorization levels and improving internal controls

PJSC «Bank Of Cyprus», Treasury Department
Head of Dealing Division
Мarch, 2013 – August, 2014 г.

•Monitoring of compliance for economic standards
•Setting up non cash currency rates for clients due trading operations
•Prepare analytical report of Department
•Manage foreign currency position
•Manage liquidity of the Bank (in local and foreign currency)
•Business correspondence with Head Office (Nicosia, Cyprus) and with Local counterparties.
•Implement of a new products of Department (short-term deposits)
•Forex & MM trading on Ukrainian and European Market
•Accounting Systems positional reference and analysis Forex & MM operations
•Develop and implement limitation and sub-limitation system of Treasury transactions
•Price formation of cash operations. Maintaining the value of the position
•Execution of financed transactions under facility agreements with foreign banks
•Preparation of data /reports related to cash flow forecast and cash position analysis by requests of Management
•Participation in development and implementation of Treasury procedures/policies; supporting and improvement control system for all bank processes
•Ongoing monitoring the changes of banking and cash regulation and legislation


PJSC «Bank Of Cyprus», Treasury Department
Main Specialist of Dealing Division
March, 2009 – March, 2013

•Setting up cash currency rates
•Manage in flow & out flow
•Concluding deals on Ukrainian Depo and Forex Market
•Manage liquidity of the Bank
•Preparing reports for BoC (Cyprus)
•Monitoring of risks and opportunities
•Control, reporting and analysis of daily operations
•Responsible for managing the cash/bank situation of the subsidiary, in accordance with the guidelines provided by the HQ


JSC «Avtozazbank», Treasury Department
Leading Specialist of Dealing Division
June, 2007 – Мarch, 2009
•Preparing reports to National Bank Of Ukraine
•Setting up cash currency rates
•Concluding and confirming deals on Ukrainian Market
•Providing consultations to clients
•Preparing reports within division operations


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