Key Responsibilities:
Conduct foreign exchange (FX), payment, and treasury product outstanding reconciliations.
Set up treasury static data, upload market data, and manage external rating market data and cost of funds in the treasury system.
Oversee auto-feed fixing rate and Credit Support Annex (CSA) interest.
Review and develop processes to enhance efficiency.
We’re Looking For:
Bachelor’s degree in finance, Accounting, or a related field.
Minimum 2 years of experience in operations. Experience in FX reconciliation is preferred.
Proficiency in English (speaking, reading, and writing).
Kỹ Năng
Chức Năng
full-time
Công Ty
206 việc làm đang hoạt động
3000 ถนนพหลโยธิน แขวงจอมพล เขตจตุจักร กรุงเทพฯ 10900
Ngành:
Sẵn sàng ứng tuyển?
Nộp hồ sơ của bạn ngay bây giờ và tiếp tục bước tiếp theo trong hành trình nghề nghiệp của bạn.
Việc Làm Tương Tự