Cash/Treasury Operations, AVP
Our Client: A major global financial services provider engaged in personal banking, credit cards, corporate and investment banking and wealth and investment management with an extensive international presence in Europe, the Americas, Africa and Asia.
Role Responsibility:
-
Processing of Shanghai Operation functions: Interbank/ Corporate FX; Derivatives; Fixed Income; Commodities; Money Market, etc;
- To ongoing update the operational procedure and internal control policy to timely reflect the business change/system enhancement and new product implementation;
- To work with regional/local product/IT to deliver and implement an efficient, business aligned support model in daily processing;
- Provide back up to checker and releaser role on trade settlement, payment and related tasks;
- Perform and review local regulatory reports on a daily basis;
- Review update procedure manuals, process flowcharts to timely reflect change in workflow and launch of new product/ business;
- Manage client's expectation on service quality and handle client's compliant;
- To maintain a good relationship with both front/middle office unit;
- Participates in crsoss training with team staffs; handel clients' expectation, risk review and audit inspection and ensure compliance both internal/external policies
Qualification:
- University degree or above
- Must have experiences in banks
- At least 7-10 years in related back-office operations
- Knowledge in either Treasury and or Cash product processing
- Experience with local regulatory reporting
- Proficiency in MS office Suite
- A good team-player with strong interpersonal skills
Leave a Reply
You must be logged in to post a comment.