Job Description
- Process transactions relating to transaction banking services including inward & outward clearing, autopay, FPS, term deposit/forex and remittance transactions etc
- Handle customer cheque deposits and cheque book issuance
- Perform scanning and uploading of client’s account documentation to the system
- Perform account posting on bank charges, daily reconciliation on Nostro outstanding breaks and audit confirmations
- Handle inquiries from customers and internal stakeholders
- Prepare daily and monthly internal reports
- Assist in performing UAT for new projects and system upgrade and drill tests
- Assist in ad hoc projects as assigned
Requirements
- Secondary education or above
- Minimum 3 years relevant working experience in cheques clearing and remittance
- Good interpersonal and communication skills
- Good team player and able to work independently
- Proficient in English and Chinese