Fixed Income And Repo Trader
Current- Portfolio management: Co-manager of the fixed income portfolio in RUB (corporate and government bonds), KZT (government bonds) and USD (government bonds)
- Liquidity management: Improving the overall performance of the Bank's portfolio through money market instruments (Repos, Commercial paper, Swaps) with a total daily volume of over $2 billion
- FX operations: Conversion operations in favour of clients and the Bank in hard currencies (USD, EUR) and soft currencies (CNY, RUB, KZT) through MOEX, KASE and OTC markets
- Research: Conducting in-depth FI research, providing insights and reports on the US, Russian, and Kazakh markets to the Treasury team and senior management
- Other: Establishing and providing daily market making operations for new instruments on behalf of KASE to improve liquidity in KZT