Overview of business area or project:
The team is responsible for trade capture process for Private Banking FX products. This contractor is required to support BAU functions which detailed below.
Key Responsibilities:
- Ensure timely and accurate FX products trade capturing – process and authorize FX/Option transactions
- Perform life cycle management for FX option products
- Investigate and resolve discrepancies between trade bookings and various systems
- Exceptions handling, investigate and resolve breaks between systems
- Attend to and follow up promptly on queries from FX Sales and internal stakeholders – build on existing relationships with internal and external counterparties to provide an efficient and high quality service
- Participate and be involved in projects/initiatives to improve efficiency - contribute to strategic development of new systems and processes. Assist with testing and implementation of any relevant new systems, including migration of trades into strategic platforms
- Reporting and escalation of late trades on a timely basis to comply with Regulatory requirements
- Trade reconciliation for post trade capture
Desired Skills and Qualifications:
- Degree / Diploma relevant to financial services and/or prior experience of financial services
- Working knowledge of FX trade processing or settlement flow would be a distinct advantage
- Ability to work under pressure and multitask with excellent attention to detail
- Pro-active and highly motivated
- Strong interpersonal and communication skills
Salary: $4,800 Per Month