Description
Functional
Ensure all trades and transactions are processed accurately and timely and in compliance with set procedures, controls and regulations: FX and MM interbank transactions, Retail payment transactions, SGS, Corporate Bonds, ELIs, and DCIs. Currency Options, IRS, Futures and Equity OptionsEnsure prompt checking of all relevant daily / monthly reports: daily FX and MM Limits are observed and any excesses to be escalated to appropriate parties, reconciliation of daily / monthly bond holdings with custodians.Ensure all projects, systems implementation, annual Business Recovery Contingency Plan exercise, Annual MEPs contingency testing are successfully completed.Capable of handling both internal and external audits.Liaise with various stake holders from Credit, Front Office, Legal, Compliance, Risk, Finance to launch New Product, to resolve production issues.Keep abreast with current market processing knowledge and best practice.Participate in project/s being assignedManagerial (team/group responsibilities)
Deputized the team head in his/her absenceResponsible for departmental SOP updatesBe a mentor and guide new team memberPossess strong compliance and control mindsetOrganizational
To carry out any other duties as directed by the Company Management.Job Requirement
A Recognized Degree in Business, Accountancy, Economics, or equivalentMin 7 years of managerial experience in banking operationsStrong knowledge on MUREX systemExperience in handling interbank and private bank products and its corporate actionsStrong interpersonal skills and self-driven with positive ‘can do’ attitudeStrong meticulous checker with an eye for detailsAble to remain composed and make best decisions in a fast paced environmentStrong written and verbal communication skillsAn analytical team player with well-developed organizational skills