Handle the reconciliation of clearing, settlement (e.g. CHATS, FPS, JETCO) &
financial transactions;
*The daily activities for the payment services (e.g. FPS, JETCO, SWIFT, loanrepayment) and inquiries;
*The treasury settlement related service (e.g. SWIFT, RTGS) and transactions
booking;
*Support ad-hoc projects/UAT for meeting business needs;
*Support improvements on the daily operational procedures and workflows of
payment operations to attain quality service enhancement and efficiency;
*Ensure and support updating on control processes and procedures comply
with internal policy and regulatory requirements;
*The loan related operational functions.