Involve in daily submission and/or trade execution activities including data entry, settlement, liaison with external parties and internal parties, resolve discrepancy issues
Prepare and send confirmations for trade executions to clients and internal reporting
Monitor and manage settlement status
Monthly reconciliation process
Provide administrative and general customer service support
Requirements:
GCE \xe2\x80\x9cO\xe2\x80\x9d Level Certificate and above
No experience required. On the job training is provided.
Team player with good communication, interpersonal and organizational skills
Meticulous, possess initiative and strong problem solving skills
Excellent multi-tasking, planning capabilities with strong communication and negotiation skills
Proficient in Microsoft Office applications, especially Microsoft Excel
Salary will commensurate with qualification and experience
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