Career Opportunity at EXIM Bank Pakistan: Hiring “Sr. Manager/Manager Treasury” || March-2025
Career Opportunity at Export-Import Bank of Pakistan (EXIM Bank). Join the Pioneer Team!
Export-Import Bank of Pakistan (“EXIM Bank”) is set up by the Government of Pakistan, as Pakistan’s official Export Credit Agency, to support inter-alia the growth of exports and to undertake import substitution projects. EXIM Bank is looking for applications from interested and qualified individuals for the position of “Sr. Manager/Manager Treasury” at Islamabad and Karachi.
Details are as follows:
Position Title: Sr. Manager/Manager Treasury
Location: Islamabad, Karachi
Gender: Both
Age: 18 – 55
Qualification:
- Minimum of a Bachelor’s degree (Master’s preferred) in Business Administration, Commerce or other relevant field(s) from a leading local or international university recognized by the Higher Education Commission (H.E.C.) of Pakistan.
Experience:
- Minimum 8(eight) years of relevant work experience in/with a bank/leading financial institution.
Competencies:
- Must understand financial markets, the economics of the business, and the associated financial risks.
- Proven experience in development and implementation of Treasury systems and Manual, Internal controls and related procedures.
- Well versed with the SBP’s R.T.G.S. system.
- Excellent analytical skills; experience in developing high quality financial models.
- Good computer literacy and inclination towards automation.
- Excellent Team Player and able to take up challenges.
- Excellent written and oral communication skills in English and Urdu.
- Excellent team player and able to take up challenges.
Key Responsibilities:
- Have & develop healthy and productive relationships with banks and other funding sources to secure the most favourable terms for the business.
- Managing investment activities of EXIM Bank in line with the approved investment policy, as well as Investment Committee’s decisions.
- Exhibit good knowledge and experience of money market activities of a bank/D.F.I. Proactively explore investment opportunities.
- Capital Planning, Debt Management, and creating strategies to optimise liquidity management.
- Effectively monitor the compliance of Treasury Operation Processes and improve the control process to identify/mitigate risks.
- Ensure the compliance of all the applicable reserves requirements in accordance with the SBP Prudential Regulation and ensure timely reporting to SBP, where applicable.
- Liaise with traders, brokers, prime brokers, front, middle & back offices of counterparties for all relevant matters, daily.
- Prepare special financial reports by collecting, analysing and summarising account information and trends.
- Provide information for preparation of Budget, Projected Cash Flow, Mismatch Report, Quality of Asset Report and Interest Rate Sensitivity Report.
- Any other task assigned by line management.
Last Date to Apply: 11 March, 2025
Click Here To Visit & Apply Online
OR
Send us your Curriculum Vitae (C.V.)/Resume at the Mailing address:
Manager H.R., Export-Import Bank of Pakistan (EXIM Bank), 5th Floor, Evacuee Trust Complex, Agha Khan Road, F-5/1, Islamabad.
- EXIM Bank reserves the right to reject any/all application(s) without assigning any reason whatsoever.
- EXIM Bank reserves the right to relocate employees from time to time.
- EXIM Bank reserves the right to consider your application for any position advertisement along with this one, in addition to the one applied for, as it deems fit and subject to eligibility.
- Candidates & their eligibility will be evaluated based on the Print Ad, these vacancy details published on our website and those on the NJP portal.
- Females and differently-abled persons meeting the mentioned qualifications & experience are encouraged to apply.
- Only candidates shortlisted for interviews will be contacted
