1. Ability to work on the Gl architecture 2. Ability to work on the GL - MIS requirements 3. Get the BI requirements from the various units and implement the same 4. Will be responsible for delivering a robust Chart of Accounts for a bank 5. Will be ...
Looking for Assistant Manager - HNISector : Broking, Financial ...
EXPECTED END RESULTS MAJOR ACTIVITIES 1. Ensure Compliance to Internal amp; External Guidelines on Trade Finance activities as guided by Team Leader. ? To efficiently perform day to day activities as allotted by team leader? Strictly go by Service L ...
Would be responsible for bank guarantees across globe ...
- Key role of this resource is to handle Remittances, Vostro Process and Cash Management. ? Knowledge of Payment process including Vostro, foreign currency remittances. ? Hands on expe ...
FXTrade fin operations, 6-12 yrs.Remittances, credit, settlement, FEMA, LCs, bills settlement, MIS, R Returns ...
The role involves day to day management of Process Service Delivery. You will serve as an internal/external escalation point. You serve as technical operational expert for queries from clients/team members etc. You will be monitoring and controlling ...
The successful candidate will manage 3 operational teams (including Managers), within the AFS department. The 3 teams perform diverse functions to support the Global Trade Processing teams: STP ndash; set up and maintenance of static data in BP2Srsq ...
8-10 years in experience in a Public Sector/:Private sector/Foreign bank out of which Minimum 3 to 4 years work experience in similar positions. Purpose of Job/Role: Job is in Trade Finance and Foreign Remittances Additional knowledge in operations ...
Experience amp; exposure to Securities market operations and security process set up for all instrument types. 3-5yrs of exp - Assistant manager - Risk support 5-7 yrs of exp - Manager - Security Pricing ...
The candidate will be expected towork closelywithglobal front officesbusiness amp;trade managersas well as re-engineering amp; product teams for their equities business, strengthening the relationship amp; support offered. This role will support the ...
Customer service and coordination wit CTX interact with te clients resolve queries and attend to complaints sed documents processing to CTX cordinate with the CTX to resolve queries and ensure the documents are processed provide CTX feedback from cl ...
Job Description: The person will be responsible for smooth day to day operation of trade related activities through active coordination and execution of the core tasks i.e. in-house bank management, execution of SWIFT / RTGS / LC / BG / REMITTANCE / ...
bull; Collection and verification of the documents received from clients as per the available check list with respect to the Domestic amp; Foreign Trade.bull; Address all the customer queries in consultation with Centralized processing Cell. bull; P ...
The Professional would be responsible for: Manage the Document Checking team. Checking import, export documents, clean and collection processing. Checking documents according to Letter of Credit based on UCP and ISBP. Processing the drawings under I ...
middot;Be Responsible for providing processing support and efficient process delivery. middot;Execute error free operations and identify and escalate any exceptions. middot;Need to comply with the firm's policies and Standard Operating Procedures mi ...
1. Operationalise the entire channel enablement 2. Work on integrations and interfaces 3. Be capable of working on Technology security4. Should be able to workk on scripting and integration layers 5. Will be part of the team delivering technology so ...
To act as a single point of contact for trade related( Forex, LC, BG) activities for the division( Branch banking ) that they are assigned to.To liaise with the sales channels to ensure max penetration and revenue generation.Responsible for Target. ...
Experience amp; exposure to securities pricing.1-3 yrs of exp - Associate 2-4 yrs of exp - Sr Associate 4-10 yrs of exp - Team Leader ...
4-8 years in Banking Trade departments with International Trade Experience and document scrutiny.experience in checking of Trade documents drawn under letters of credit. should be CDCS Certified (This will be an Added Advantage) A positive mind ...
Provide back to back Trade Capture for theDerivatives or Fixed Income Desks bull; Performing end-to-end controls and reconciliation across the entire spectrum, from the front-end trade capture, trademanagement through to the settlements, confirmatio ...
Responsible for Internal Inspection,Credit Control, Operational Planning,Budgeting. Responsible of general banking operationin deposits,Loan credit Administartion. To work in close coordination with departmen ...
Primary Support on Exception Processing, MIFID Queue monitoring, SOX Testing, Frank B Reporting, TLM Reconciliation, Preparation of Control Packs, MIS amp; Error Reporting.middot; Adhering to standard operating procedures and controls middot; Multi- ...
The primary responsibility of this position is to support the day to day Operations for Trade Finance Products. The candidate will report to a Team Leader. The role involves processing of trade finance transactions for our Global clients. ...
ReconciliationPL of any of the financial product like derivatives, Equity, Fixed income etcResponsible for balancing on a daily basis funds that deal with equities, listed derivatives and otc instruments ...
EXPECTED END RESULTS1. Ensure Compliance to Internal amp; External Guidelines on Trade Finance activities as guided by Team Leader. ? To efficiently perform day to day activities as allotted by team leader? To ensure that Team members process transa ...
1. Should have capability to innovate and present innovations in the field of channel enablement 2. Should be able to work with the technology head in the area of User Experience and Customer Experience enhancement 3. Should be able to develop with ...
1. Ability to work on the Gl architecture 2. Ability to work on the GL - MIS requirements 3. Get the BI requirements from the various units and implement the same ...
The candidate will be expected to work closely withglobal front offices business amp; trade managersas well as re-engineering amp; product teams for their equities business, strengthening the relationship amp; support offered. This role will support ...
Skills:Securities Services Trainer Corporate Actions, Securities Settlements, Fund Account Management, Securities Static Data Maintenance, Fee billing, MIS, system testing (UAT), Operational Risk Management ...
Having 10 years of experience within trade operations, you will be able to be execute and take necessary action to ensure operational risks and standards are not comprised. Knowledge of all trade related products /financing deals with specialization ...
EXPECTED END RESULTS1. Ensure Compliance to Internal amp; External Guidelines on Trade Finance activities. ? To supervise day to day activities of the team members? Daily Control Functional Check List to be adhered to. ? Strictly go by Service Level ...
EXPECTED END RESULTS MAJOR ACTIVITIES 1. Ensure Compliance to Internal amp; External Guidelines on Trade Finance activities. ? To supervise day to day activities of the team members? Daily Control Functional Check List to be adhered to. ? Strictly g ...
Managingand leading the Trade GTS Operations Team.Arranging processing of transactions free of errors meeting the TATEnsurecompliance to regulatory requirements while processing transactions in terms of documentation and rules. ...
1. Handle Asset portfolio of the bank 2 . Handle the Receivables and Payables of the Bank 3. Handle the Basel II and CAR of the bank 4. Should be able to work on the reporting layer and scripting(1 resource) 5. Will work on the requirements of the F ...
Operational middot; Trade interface and repair queue checking middot; Validation of interfaced trades middot; Validation of new asset set ups middot; Processing and validation of all manual trades including derivatives and FX's middot; Contribute to ...
quot;VERY URGENT OPENINGquot;The Professional would be responsible for: Manage the Document Checking team. Checking import, export documents, clean and collection processing. Checking documents according to Letter of Credit based on UCP and ISBP. Pro ...
Operations Doc Check 1. Manage document checking process at doc check team at Mumbai Trade center, to meet agreed customer service level agreements, reporting, review outstanding transactions 2. Manage and ensure compliance (KOP, Ops manual etc) wit ...
1.Responsible for end to end handling of one or two sub process 2.Possess indepth knowledge of Export related products i.e 3.Advising amp; Confirming Export Letters of Credit ,Handling amp; settlement of Bills drawn under LCs and related SWIFT MT fo ...
Will be looking after operations and sales of trade. ...
Operational management and control of the daily workflow within the Trade Management and Settlements team across Mumbai and Bangalore Maximise team capacity through effective resource planning and ensure team structure is robust through effective tr ...
Looking out for candidates having 6+ years of expereince in Trade Finance for a Leading Bank. Job location :Bangalore. Doc check requirements:Skill set: Document scrutiny / LC advising / Export bank guarantees. Generic trade req ...
Job Description The Onshore Organization Rotterdam is responsible for processing Letters of Credit (LCrsquo;s) and services to a select group of customers. The department Customer Office focuses on client contacts and preparation of tasks to str ...
- To own the Trading Management functions and to drive change locally and globally, interacting with Senior Traders and Trading Heads globally. - To provide the Swaps and Securities Lending Trading desk with analytics to aid trading and risk managem ...
Responsible for processing and reviewing day-to-day transactions for trade operations functions as required.Maintains internal operational and financial controls and ensure they meet bank standards.Ensures effectiveefficient operations support ...
bull; Responsible for processing and reviewing day-to-day transactions for trade operations functions as required. bull; Maintains internal operational and financial controls and ensure they meet bank standards. bull; Ensures quality service and eff ...
Work on Letter of Credit, Bank Guarantee, Bill Discounting, Outward Remittance processing.Well aware of FEMA guidelines, UCPDC 600.Well versed with latest external changes. ...
Minimum 1-2 years trade finance experience preferable. Should have knowledge of Trade Products - LCs, Bank Guarantees, Imports, Exports and SCM. Should be familiar with the core banking systems - UBS, FW amp; SWIFT Should be a self starter with init ...
The main responsibilities include: Day to day management of Process Service Delivery whilst serving as Internal/external escalation point . Serving as technical operational expert for queries from clients/team members etc. Ensuring timely monitoring ...
This is the generic snapshot of the profile:- Trading desk (Trade Capture)Position : AVP - Trade Capture Department: Prime ServicesPrime Services is a business unit within the Securities Division. We provide traditional prime brokerage cover and valu ...