Treasury Operations for Derivatives Team (Manager)
Job Description
Responsible for trade verification in treasury system Ensure timely and accurate payments/receipts of cash Investigates and resolve trade and/or payment disputes/ discrepancies Ensure corporate actions are timely processed Responsible for accurate posting of General Ledger entries Attend to internal and external customers' queries Ensure compliance to Department and Bank's operational risk and regulatory requirements Drives process improvement and system automation.
*LI-VW Qualifications
Good knowledge in treasury products or processing Good written and oral communication skills and able to interact with people at various levels Good time management and ability to prioritize tasks effectively based on the risk/time criticality of the tasks Good knowledge of MS Office Suite, including proficiency in Excel Possess drive, team-spirit and a strong team player Innovative mindset and able to improve processes to minimize risk and increase efficiency Minimum 1 year of relevant experience in Derivatives processing and settlement preferred Required to work on weekends / SG public holidays
*LI-VW Qualifications