• Managed bank's foreign exchange, interest rate, and liquidity positions, ensuring optimal capital allocation and meeting reserve requirements to support financial stability;
• Established and implemented internal procedures for Treasury Department, creating efficient and compliant financial processes;
• Executed interbank FX and money market transactions, fostering robust relationships with corporate and institutional clients;
• Directed corporate customer sales efforts, driving tailored financial solutions and long-term client partnerships;
• Developed and structured FX and credit-linked products for private clients, aligning financial offerings with customer needs;
• Identified, analyzed, and proposed investment opportunities in structured financial products, enhancing bank's investment portfolio and risk management.