Collect, monitor, and analyze bank liquidity data to manage the bank's intraday liquidity to meet business requirements and comply with relevant regulations.
Study, monitor, and evaluate domestic and foreign financial market conditions to analyze and forecast overall market liquidity trends in order to determine strategies for entering the money market transactions at appropriate prices and volumes.
Study, monitor, and evaluate exchange rate market conditions to analyze and forecast exchange rate trends in order to determine strategies for entering the FX market at appropriate prices and volumes.
Monitor, study, and participate in various activities related to the development of payment systems and financial products that affect intraday liquidity management.
Carry out various activities to cooperate and maintain good relations with the Bank of Thailand and counterparties in the money market.
Qualification:
Experience in the money market or foreign exchange market.
Basic knowledge and understanding of economics and financial and capital market products.
Enthusiasm for following news, market movements, and positions under responsibility.
Analytical, problem-solving, and project management skills.
Education: Finance, Economics, Business Administration, Engineering, or related fields.