This position involves supporting the processing of Structured Products trades for wealth management clients and Custody Services for corporate clients.
Key responsibilities include:
· Trade validations and process corporate actions.
· Address inquiries from internal stakeholders, including relationship managers and relationship officers, as well as external custodians.
· Participate in adhoc projects and initiatives, along with conducting user acceptance testing.
· Diploma Holder & above
· Good product & banking knowledge
· At least 2 years of work experience in Operations departments of banks/financial institutions, preferably with exposure in Trade Settlements and/or Corporate Actions
· Meticulous and have a keen eye for details
· Able to work under stress and can adapt to changes
· Good inter-personal skills
· Good team player