Jaroslaw Gorski
Treasury Advisor,, Stabar Sp z o.o., Żyrardów
|
Warsaw / Poland
About me
- Over 20 years in banking industry and over 3 years of financial exposure management in a Middle Sized Company
Experience:
- Senior Treasury Sales Dealer in a reputable International Banks,
- Foreign exchange and interest rate hedging for Corporate Customers,
- FX and IR derivative products,
- Structured Banking Products,
- Presenting, tailoring, pricing, negotiating and selling Capital Market Products for Corporates,
- Strategic relationship management with Treasury Customers,
- Treasury agreements and procedures,
- Product's documentation.
- Currently:
- Interface between Company and servising Banks,
- Treasury operations and market risk management,
- Hedging portfolio management,
- Treasury performance reporting.
Experience:
- Senior Treasury Sales Dealer in a reputable International Banks,
- Foreign exchange and interest rate hedging for Corporate Customers,
- FX and IR derivative products,
- Structured Banking Products,
- Presenting, tailoring, pricing, negotiating and selling Capital Market Products for Corporates,
- Strategic relationship management with Treasury Customers,
- Treasury agreements and procedures,
- Product's documentation.
- Currently:
- Interface between Company and servising Banks,
- Treasury operations and market risk management,
- Hedging portfolio management,
- Treasury performance reporting.
Education
SGGW, Warsaw
2015
-
current
Agricultural Machines and Technology
Experience
Treasury Advisor,, Stabar Sp z o.o., Żyrardów
02/2011
-
current
- Providing treasury expertise,
- Negotiating and concluding FX hedging transactions,
- Valuating and managing FX hedging portfolio,
- Identifying market risks and implementing hedging strategies,
- Controling professional limits with servicing Banks,
- Negotiating with Banks treasury documentation and treasury services conditions ,
- Reporting: market and operating risks and portfolio performance.
- Negotiating and concluding FX hedging transactions,
- Valuating and managing FX hedging portfolio,
- Identifying market risks and implementing hedging strategies,
- Controling professional limits with servicing Banks,
- Negotiating with Banks treasury documentation and treasury services conditions ,
- Reporting: market and operating risks and portfolio performance.
Senior Dealer Sales, Kredyt Bank SA
09/2002
-
02/2011
Promoting, structuring and selling FX & IR Hedging Products and other Treasury Services to Corporations & SME. Structuring and selling Investment Products dedicated for Private Banking Clients. Developing and managing Customer Base and Relationship to match individual sales budget and customer business needs.
Treasury Sales Executive, BZWBK
02/2000
-
11/2001
Head of Capital Markets Sales & Marketing, Bank of America Poland
10/1997
-
07/1999
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