Ensure that all FX and MM Corporate/Inter-bank trades are processed and approved on Transaction Processing Systems in a timely manner;
Prepare and check manual Payments (Fed, Chip, Swift) if required
Enter payments in Broadrige Metro PACS
Review critical control reports for manual settlement or processing;
Perform EOD reconciliations;
Enter updates in Client Metro FUNDING;
Confirmation via email, swift, and third party platform systems related to FX and MM transactions
Work closely with Documentation/Confirmation team to ensure that payments are stopped for any MT-392 issuance;
Monitor the USD Fed/Chips reconciliations;
Liaison with Market Front Office as well as other inter-departments in resolving issues;
Perform the reconciliation of brokerage bills and payments;
Troubleshoot potential operational problems and resolve issues;
Assist with other staff members in the daily operation requirements;
Cross training in all aspects of the operations to be proficient with various FX/MM transactions processing/settlement;
Obtain a basic understanding of the applicable rules and regulations that govern the Bank. Understand that all questions and/or clarification about such rules and regulations should be directed to the Americas Legal and Compliance Division. Attend Annual Compliance Training presented by the Americas Legal and Compliance Division. Read and respond as necessary to all compliance-related reference and directive materials received. Comply with the Bank's "Code of Conduct".
QUALIFICATIONS:
College Degree Preferred. 5+ years of experience in Money Market and Forex Operations or equivalent.
Knowledge of Outlook, Excel, and Microsoft Word
Communication skills to deal effectively and professionally with Corporate Clients, Front Office Account Officers, Front Office Traders, and other team members within organization.
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