Individual to be involved in following services to the Branch and to its overseas affiliates including but not limited:
Bank Nostro / Depot reconciliations
Front Office/ Back Office trade reconciliations
Corporate Retail services support
Process inward and outward remittances
SSIs setup and perform call back verifications for new accounts
Trade settlement activities and monitoring
Daily Cash Management support for Treasury to Singapore, London & Zug Branches
Participates in global projects and involvement in global initiatives and exercises
Provide back up for cash services and assist in any assignment given from time to time.
The Individual should be:
Have worked few years in a similar environment. Well verse in core banking systems. High proficiency in MS Office application with strong Microsoft Excel skills. In general IT minded. Excellent attention to details and high degree of accuracy and consistency. Strong verbal and written communications skills in English and Mandarin.