Responsibilities
1. Investigates into Bankers’/Customer’s/Business Units’ Remittance requests, inquiries and feedback and revert to them with findings within the agreed Service Level Agreements.
2. Performs daily reconciliation on outstanding investigation cases handled to ensure that all cases are attended to and followed up until complete closure.
3. Documents all investigation cases handled daily for records,management reporting and performance measurement purposes.
4. Handles back valuation requests (including waivers) from bankers, reconciliation of nostro accounts etc
5. To perform any ad-hoc tasks as assigned from time to time and/or participate in UAT/Projects as and when required.
6. To participate in team huddle sessions (on rotation basis) sharing on operational process lapses/gaps, the related root causes and implementation plans; raise any other changes/issues which may impact daily operations etc with objective to drive quality and cohesiveness.
7. To be involved in regular process reviews to manage risk & control and ensure team’s strict compliance to laid down controls and proceduress
Skills/Requirement
1. Able to communicate effectively and work in a team with others
2. Able to multi-task and manage priorities in a fast-changing environment
3. Possess strong analytical and problem-solving skills
4. Able to use design thinking principles to improve and streamline existing processes
5. Proficient in the use of MS Office
Interested applicants may submit your detailed resume to [email protected].
We regret to inform that only shortlisted candidates will be contacted.