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- Daily overall management of FX & Derivatives business to comply with the Bank's regulation.
- Monitor & update market movements, regulation to have strategy for business and advise for Directors if any.
- Plan and set up annual FX & Derivative business plan of whole bank.
- Review and propose strategy/action plan on periodical basis.
- Maintain close contact with customers and keep updating market information with excellent financial solution provider to customer via phone call, mail, on-site visit.
- Establish new policy/guideline/process or Revise existing policy/guideline/process to adapt with regulatory change, market change or customer demand change.
- Offline Seminar co-hosted with Economic expert or other organizations, providing expert view about FX and Economic market.
- Interface and collaborate with relevant departments as well as regulators.
- Other tasks assigned by Directors.
1. Daily perfomance overall management of FX Business (including FX Cash, FX Agent Services, FX cash import/export) to comply with the Bank and SBV's regulations.
2. Establish/Update policy/guideline/process/internal system to adapt with currrent regualtions/market/customers' demand.
3.Review and proposal strategy plan/marketing activities to boosting FX performances on periodical basis.
4. Interface and collaborate with internal relevant departments for tasks related to FX business.
5. Do reporting of FX Business
6. Collaboration with external partners for FX projects (if any)
7. Other tasks assigned by Directors
Hồ Chí Minh
Hạn nhận hồ sơ: 13/09/2025
Hồ Chí Minh
Hạn nhận hồ sơ: 07/10/2025
KV miền Nam
Hạn nhận hồ sơ: 31/12/2025
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