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Hướng dẫn ứng tuyển
Bước 1: Điền vào Mẫu thông tin ứng viên LOTTE Finance, tải mẫu tại đây,
Bước 2: Chọn nút "Nộp đơn" bên trên và làm theo hướng dẫn.
Bước 3: Sau khi hoàn tất bước ứng tuyển, nếu đã ứng tuyển thành công, Bạn sẽ nhận được Thư xác nhận ứng tuyển thành công từ LOTTE Finance. Vui lòng đọc email để nắm các thông tin hướng dẫn tuyển dụng tại LOTTE Finance.
Chúc Bạn Sức khỏe và Thành công.
1. FI Relationship Management
- Develop, maintain, and expand relationships with domestic and international Financial Institutions, including banks, finance companies, insurance firms, and securities companies.
- Identify and onboard new FI partners in alignment with credit approval frameworks and internal policies.
- Collaborate with FI/IR Team on credit assessments, counterparty limits, and periodic partner performance reviews.
- Maintain active engagement with FI clients to capture market intelligence, funding appetite, and investment trends.
2. Funding Origination & Structuring
- Originate and structure funding transactions via Certificates of Deposit (CDs), bonds, and other debt instruments.
- Design tailored funding solutions (e.g., structured loans, syndicated loans, asset-backed funding) aligned with ALM and liquidity strategy.
- Develop and maintain diversified funding channels across domestic and offshore FI investors.
- Analyze market conditions (rates, liquidity, investor demand) to optimize pricing, tenor, and issuance timing.
3. Distribution, Execution & Investor Coverage
- Lead marketing and distribution of funding instruments to FI investors.
- Manage end-to-end execution of issuance transactions, including term sheet negotiation, pricing, and allocation.
- Coordinate closely with internal stakeholders (ALM, Risk, Legal, Compliance) and external parties (arrangers, investors).
- Ensure smooth deal execution in collaboration with Treasury Operations & Control team (booking, settlement, reporting).
4. Issuance Management & Investor Relations
- Execute the end-to-end issuance process for debt instruments, ensuring all internal and external approvals are secured.
- Serve as the primary point of contact for investors, providing timely market updates, performance reports, and addressing technical inquiries.
- Ensure absolute compliance with the State Bank of Vietnam (SBV), State Securities Commission (SSC), and other relevant legal frameworks governing the issuance and management of valuable papers.
- Manage post-issuance obligations, including interest payment scheduling, principal redemption, and mandatory information disclosure.
- Ensures business unit’s compliance with applicable laws, regulations, regulatory requirements and Bank policies and procedures, including but not limited to those related to Fair Banking, Anti-Money Laundering laws and regulations, Bank Secrecy Act.
- Other tasks assigned by Treasury Head/Director.
- Experience: A minimum of 3–5 years of intensive experience in Treasury, FI Relations, or Capital Markets within the banking or non-bank financial institution (NBFI) sector.
- Education: Bachelor or higher Degree in Finance, Banking, Economics, or a related field.
- Market Expertise: Deep understanding of the Interbank market, debt capital markets (DCM), and the regulatory landscape governing financial products
- Skills:
+ Advanced negotiation and institutional sales capabilities.
+ Strong quantitative analysis and financial modeling skills.
+ Fluency in English (professional proficiency) for working with international counterparties and reviewing legal documentation.
- Competencies: High level of professional integrity, strategic logical thinking, and the ability to operate effectively under high-pressure market conditions.
Ho Chi Minh
Deadline to apply: 24/04/2026
Stay Connected. Why?
Ha Noi
Salary: Negotiable
Ha Noi
Salary: Negotiable
Ha Noi
Salary: Negotiable