Cash and Reconciliations Analyst (Japanese Speaking)
The Company
The client is a global asset management firm.
The Role
The Cash Reconciliations team is responsible for cash and asset reconciliations between the firm and external counterparts. This role is based in Singapore, supporting the Japanese counterparts' transactions.
The operations analyst will be responsible for cash reconciliations and publishing, margin management, FX retention (coupon flip) and performing stock availability check. You will take charge of asset/position reconciliations, overdraft tracking, and exception management and break prevention activities.
Your Profile
The successful candidate will have back office operations experience within financial services like asset management or capital markets, with a high level of PC literacy.
Due to the need to coordinate with global and Japanese counterparts, this role requires Fluent Japanese (Written and Spoken) and good Business English language skills to perform the duties effectively.
Apply Today
To apply online (Word attachment only) for ref. no. AT10658, please click the 'Apply' button. Please note that only short-listed candidates will be contacted.
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