Overview:
Are you a detail-oriented professional eager to advance your career in the banking sector? Our prestigious corporate banking client is seeking a Treasury Settlement Officer to join their dynamic team. This critical role is essential for ensuring smooth daily settlement operations and efficient interbank funds transfers.
Key Responsibilities:
- Execute daily settlement tasks, ensuring accurate reconciliation of transactions and timely resolution of discrepancies.
- Process interbank funds transfers while complying with internal policies and regulatory standards.
- Generate SWIFT and CHATS payment messages using the SWIFT Alliance system, ensuring precision and punctuality.
- Participate in system development projects, including User Acceptance Testing (UAT) and migrations, to enhance operational efficiency.
- Collaborate with various departments to streamline settlement processes and improve service delivery.
- Stay updated on industry trends and regulatory changes affecting settlement operations.
Requirements:
- Degree in Business Management, Finance, or a related field.
- Experience in banking Treasury Settlement.
- Strong analytical skills with meticulous attention to detail to ensure transaction accuracy.
- Proficient in banking software and systems, especially SWIFT Alliance.
- Excellent communication and interpersonal skills for effective collaboration with internal teams and external stakeholders.
- Ability to thrive under pressure and meet tight deadlines in a fast-paced environment.
- A proactive attitude with a willingness to learn and adapt to new systems and processes.
Join a respected corporate bank that prioritizes precision and excellence! If you are ready to take on a pivotal role in settlement operations and contribute to the bank's success, we encourage you to apply. Please send your CV to Raymond Cheung for a confidential discussion. Your next exciting career opportunity awaits!