Key Responsibilities: - manage fixed income matching and settlement processes and daily balance sheet analysis
- review daily P&L reporting processes performed by off-shore utility team and identify separate project risks versus project issues
- open and maintain external and internal trading client accounts
- execute the accounts payable team's day-to-day functionalities and activities to ensure compliance of prevailing policies
- systems implementation and process re-engineering
Key Requirements:
- two to three years' banking experience, with a good knowledge of financial products
- highly adaptable, with a broad experience mix derived from working across different environments
- team-focused, with strong analytical and interpersonal skills