Execute customer instructions E.g. remittance, cashiers order and time deposit for VIP customers and Corporate Customers timely and accurately
Perform daily and monthly checking and reporting like recording of transaction, conduct day-end reconciliation and checking, monthly reporting preparation.
Regularly improve the processes and revise related SOPs.
Provide trainings to makers and RMs on the required process.
Other ad-hoc duties and projects as required
Job Requirements
Possess at least a recognized Diploma/Degree in Banking and Finance Services or Business Administration or Accountancy or equivalent professional qualifications
At least 2 to 3 years of experience in banking industry, knowledge in accounting or remittance will be in advantage
Proactive team player and able to work independently
Meticulous and attention to details
Effectively bilingual in Chinese and English so as to communicate effectively with Head Office
Good Microsoft Office skills
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