[JOB TITLE]
[Location]
[Work Mode]
Key Responsibilities
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Experience in public administration, financial analysis, or debt management.
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Deep knowledge of debt instruments (government bonds, eurobonds, credit lines, etc.).
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Understanding of working with investors and public debt management mechanisms.
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Proficiency in English at an Upper-intermediate level or higher.
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Higher education in economics, finance, banking, or related fields.
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High level of analytical skills and experience with financial models.
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Ability to work under tight deadlines and solve complex financial tasks.
Requirements
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Analysis of internal and external public debt, preparation of reports on its structure, volume, and risks.
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Evaluation of the effectiveness of public debt management.
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Development of recommendations for attracting and servicing public debt.
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Analysis of securities markets.
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Monitoring of international debt instruments and development of strategies for implementing best practices in Ukraine.
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Preparation of financial models for assessing debt risks and scenario analysis.
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Participation in the preparation of materials for presentations, articles, and consultations.
We Offer
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Hybrid work format.
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Flexible schedule (ability to start work from 09:00 to 10:00).
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Comfortable office with storage, located five minutes from the subway.
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Free corporate English language courses.
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Medical insurance.
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Access to a library with books for your professional and personal development.
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Participation in projects aimed at building a strong economy of Ukraine.
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Work in a dynamic environment that fosters innovation and intellectual growth.
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Interaction with leading international organizations and experts.
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Opportunity to visit a corporate psychologist.
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Paid vacation and sick days.
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Participation in exciting corporate events and parties.
