English
Carrying out non-cash transfers in foreign and national currencies;
Crediting funds to clients' settlement accounts through SPK, GSRRV, SWIFT, SPFS, Bank-Client systems;
Daily reconciliation of balances on all correspondent accounts in foreign and national currencies with NBKR; monthly preparation of a statement of discrepancies in correspondent account balances;
Acting as the "operator" in the SWIFT system for all outgoing financial transfers of the Bank;
Providing reports to NBKR (daily, weekly, monthly).
Higher economic education / bachelor’s degree;
At least 1 (one) year of work experience in the specialty;
Experience with SWIFT, gross/clearing systems;
Computer literacy and ability to use technical tools required for work;
Knowledge of English at the level of incoming information.
Официальное трудоустройство в соответствии с ТК КР;
Достойную оплату труда и возможность карьерного роста;
Дружную рабочую атмосферу и слаженный коллектив;
Современные уютные офисы в удобных локациях;
Масштабные проекты и корпоративные мероприятия;
Повышение квалификации и обучения за счет банка.