Treasury Operations, Japanese Speaking, Analyst / Associate recruitment

Treasury Operations is the Firm’s “central bank” for managing the Firm’s overall cash positions. The team works in a time sensitive environment in which accuracy of processing and timely escalation and communication with the various Ops teams, Corporate Treasury and our external Nostro Agent Banks is essential to a smooth settlement process. The successful candidate will work in either the cash management team or reconciliations team to support daily cash activities, new business build-out, or to aggressively drive forward control efficiency initiatives.
Principal Responsibilities :

Analyst

• Meet the firm’s short term funding requirement for the 700+ bank accounts in Asia; monitor day-to-day cash receipts and payments particularly in [INVALID-WORD]nt regulatory markets
• Support the growth market build out and strategic global project initiatives
• Manage compliance and anti-money laundering risks
• Support our growing bank account portfolio in the region

Experience/Skills

University degree holder, preferably with financial background
Good English communication skills, additional Japanese language preferable
Good attention to details / ability to work under pressure and perform multi-tasking
Creativity a must